Fiduciary advocate claims commission's assumptions in cost-benefit analysis undermine potential rule
Canellos, Ceresney have earlier ties to new SEC boss White
Suspicious trading, lack of supervision cited by regulator.
Rethinking incentives for saving in tax-deferred accounts
Experts are just getting their arms around a little-publicized wrinkle in the 2012 law.
Money laundering, lack of supervision cited by regulatory agency.
In formal investor alert, SEC, Finra say spamming in "high gear."
The record fine Finra meted out to LPL for failing to oversee its e-mail system is just the latest in the regulator's crackdown on digital diligence, reports Dan Jamieson.
Department seeking comments before proposing formal method.
The battle between Finra and Schwab over class-action waivers is not done. Lawyers say the case could get swept up in the national debate over consumer rights -- and ultimately end up before the Supreme Court.
More brokerage firms are expected to demand that customers give up their right to file class actions against them
Momentum building in Washington as some see Internet sales tax as opening a door.
Republicans express frustration with slow pace, missed deadline
Dually registered advisers will be one of the SEC's exam priorities for 2013. Oh yes, the commission also plans to focus on payments advisers make to companies that distribute mutual funds.