Regulation And Legislation

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NEWS ALTERNATIVES MAY 23, 2014
REIT firm KBS battling Schorsch's American Realty Capital over claim of trade secret theft

Nicholas Schorsch's American Realty Capital Advisors and rival nontraded-REIT sponsor KBS Capital Advisors are locked in a legal battle over proprietary information and trade secrets. Bruce Kelly reports.

NEWS REGULATION AND LEGISLATION MAY 22, 2014
Former Treasury Secretary Geithner warns of calm before market storm

On the heels of publishing his new memoir, the former Treasury secretary talks about how today's market lull is reminiscent of the environment leading up to the crisis.

NEWS REGULATION AND LEGISLATION MAY 22, 2014
Ex-Prim president Kaufman sentenced for defrauding NBA union

Carolyn Kaufman, a former president of a Prim Capital Corp. advisory services unit, was sentenced to 3 years' probation, including 6 months under house arrest, for lying to a grand jury investigating a fraud against the National Basketball Players Association.

NEWS EQUITIES MAY 22, 2014
Ukraine's new resistance to Russia draws attention back to the macroeconomic fallout

<i>Friday's menu:</i> Ukraine heats up and fund winners and losers come into focus. Plus: Fed-speak clarity: an oxymoron? Bank loan funds fall victim to Fed policy, Obamacare drags us back to the 1950s and banks square off with Big Labor in Vegas.

NEWS RIAS MAY 21, 2014
Will the SEC use its extra funding to strengthen adviser oversight?

Now that it looks like the SEC will get an additional $150 million in funding, speculation is mounting on how the funds will be deployed. Is increasing adviser oversight going to be a priority?

NEWS RIAS MAY 21, 2014
SEC's Mary Jo White's top priority: uniform fiduciary standard

Pushing her colleagues to decide whether to propose a regulation to raise investment advice standards for brokers, the SEC chairman called the uniform fiduciary standard 'a primary, immediate focus.' <i>(See what Mark Cuban had <a href=&quot;http://www.investmentnews.com/article/20140221/FREE/140229971&quot; target=&quot;_blank&quot;>to say</a>.)</i>

NEWS MUTUAL FUNDS MAY 20, 2014
SEC commissioners push back against systemic designation for mutual funds

Two on panel annoyed with regulatory action on &quot;too big to fail&quot;; Gallagher says asset managers shouldn't be considered systemically key.

NEWS PRACTICE MANAGEMENT MAY 20, 2014
A fiduciary standard? Don't hold your breath

Securities and Exchange Commission member Daniel Gallagher doubts that his agency will propose its own rule to raise advice standards for brokers providing retail investment advice.

NEWS BROKER DEALERS MAY 20, 2014
Finra fines Berthel Fisher $775,000 for compliance failures

Regulator said IBD didn't adequately train or supervise brokers selling alternative investments and nontraditional ETFs .

NEWS ALTERNATIVES MAY 20, 2014
Regulators have an uphill battle to bring transparency to illiquid investments

Bringing light and due diligence should be a priority for the investment advice industry.

NEWS REGULATION AND LEGISLATION MAY 20, 2014
Finra to examine broker-dealers for cybersecurity threats

Taking a lead from the SEC, the regulator seeks to understand dangers that lurk online. <i>(Don't miss: <a href=&quot;http://www.investmentnews.com/section/video?playerType=Events&amp;eventID=FSI2014&amp;bctid=3147642077001&amp;date=20140203&quot; target=&quot;_blank&quot;>Which firms are most at risk for cyberattacks?</a>)</i>

NEWS EQUITIES MAY 19, 2014
Finra goes after algorithmic trading trickery

Today's <i>Breakfast with Benjamin</i> menu: Finra targets trading trickery. Plus: Credit Suisse pleads guilty to tax evasion, dealing with the Fed's giant balance sheet, Treasuries vs. gold and 10 great baseball movies to see this summer.

NEWS RETIREMENT PLANNING MAY 19, 2014
Rubio outlines Social Security reforms

Senator calls for changes that would encourage retirement-age workers to work longer

NEWS REGULATION AND LEGISLATION MAY 19, 2014
CARDS proposal poses challenges, unintended consequences

Though well-intended, Finra's plan could come with new security concerns and costs

NEWS REGULATION AND LEGISLATION MAY 18, 2014
Taking a closer look at tax reform

NEWS RIAS MAY 18, 2014
Federal judge allows fee-only case against CFP Board to proceed

Camardas can seek monetary damages and pursue anti-trust violations in case in which they are suing the CFP Board for sanctioning them.

NEWS PRACTICE MANAGEMENT MAY 16, 2014
Tall tales are a red flag for regulators

Advisers are sure to get a visit if they exaggerate numbers or make dubious statements in advertising.

NEWS REGULATION AND LEGISLATION MAY 16, 2014
Finra sends expungement rule to SEC; plaintiff's lawyer says won't have an impact

If approved, rule would prohibit investor complaints from being contingent on clearing a broker's record.

NEWS RIAS MAY 16, 2014
Finra seeks to beef up use of BrokerCheck

Revives proposal that would require brokerages to link to regulator's database, including disciplinary background info.

NEWS REGULATION AND LEGISLATION MAY 16, 2014
Finra agrees to dump expungement agreements

Rule change would stop brokers from placing conditions on settlements stipulating that customers agree not to oppose brokers' move to clear record.