Regulation And Legislation

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NEWS REGULATION AND LEGISLATION OCT 04, 2011
What's in a name?

Plenty, according to state regulators. They say recent exams revealed that advisers are increasingly attaching 'RIA' after their signatures as it were an earned designation. It isn't -- and doing so violates the rules | <b>Extra </b> <a href=http://www.investmentnews.com/apps/pbcs.dll/gallery?Site=CI&amp;Date=20110923&amp;Category=FREE&amp;ArtNo=923009999&amp;Ref=PH>The 10 states with the most CPAs</a>

NEWS ALTERNATIVES OCT 03, 2011
Finra plan aims to bring nontraded-REIT pricing up to par

NEWS RIAS OCT 03, 2011
Ranks of advisers thin out for first time in a decade

The number of investment advisers registered with the Securities and Exchange Commission has fallen for the first time in 10 years, while the assets that they manage have increased sharply, according to a report released last week

NEWS REGULATION AND LEGISLATION OCT 02, 2011
RJ units to pay $2.1M over commissions

NEWS RETIREMENT PLANNING OCT 02, 2011
Smaller brokers expected to restrict self-directed IRAs

Veteran enforcement official leaving Finra
NEWS REGULATION AND LEGISLATION SEP 30, 2011
Veteran enforcement official leaving Finra

James Shorris to return to the private sector after seven years with regulator; had said private placement crackdown was top priority

Source: Finra finds a new head of enforcement
NEWS REGULATION AND LEGISLATION SEP 30, 2011
Source: Finra finds a new head of enforcement

Bradley Bennett, currently a partner at Baker Botts LLP, is set to take over as head of enforcement at the Financial Industry Regulatory Authority

NEWS ALTERNATIVES SEP 29, 2011
Faster pricing of nontraded REITs sought

Finra is putting the finishing touches on a rule proposal that would shorten the amount of time available to broker-dealers to come up with estimated valuation of a nontraded REIT

NEWS REGULATION AND LEGISLATION SEP 29, 2011
Barr Rosenberg barred from securities biz for life

The co-founder of Axa Rosenberg Group agreed to pay $2.5 million and be barred from the securities industry for life for failing to tell investors that there was an error in the computer code of the investment model he developed and the firm used to manage client assets.

NEWS FIXED INCOME SEP 29, 2011
SEC expected to backtrack on muni rules

Industry observers think the Securities and Exchange Commission will have to backtrack on a proposal to increase the number of people regulated as municipal advisers

Compliance pros should be the biggest winners under Dodd-Frank
NEWS PRACTICE MANAGEMENT SEP 29, 2011
Compliance pros should be the biggest winners under Dodd-Frank

Compensation for compliance experts has been stagnant over the past few years, but that situation should be improving soon, largely thanks to the Dodd-Frank Act.

SEC opens whistle-blower website as Dodd-Frank program begins
NEWS PRACTICE MANAGEMENT SEP 29, 2011
SEC opens whistle-blower website as Dodd-Frank program begins

The Dodd-Frank Act's new incentive program, which rewards tipsters with as much as 30% of penalties collected, has been operating on an interim basis since the law was enacted last year.

NEWS REGULATION AND LEGISLATION SEP 29, 2011
Bachus wants to restructure SEC

Rep. Spencer Bachus, chairman of the House Financial Services Committee, wants to overhaul the SEC and delay the fiduciary rule.

Raymond James in court over $1.7M arbitration settlement over suitability
NEWS LIFE INSURANCE AND ANNUITIES SEP 29, 2011
Raymond James in court over $1.7M arbitration settlement over suitability

Not-so-binding arbitration? Two months after Raymond James Financial Services Inc. was ordered to pay $1.7 million as a result of an arbitration decision over suitability, the broker-dealer and the client are arguing in court.

SEC charges Long Island investment adviser
NEWS REGULATION AND LEGISLATION SEP 28, 2011
SEC charges Long Island investment adviser

The Securities and Exchange Commission filed charges today against unregistered Long Island investment adviser Corey Ribotsky for allegedly lying about the performance of his investment strategies and stealing more than $1 million from one of the hedge funds he managed.

Ameriprise workers sue over company's own 401(k) funds
NEWS RETIREMENT PLANNING SEP 27, 2011
Ameriprise workers sue over company's own 401(k) funds

Claim employer put retirement assets in proprietary funds that incurred $20M in excess costs

NEWS REGULATION AND LEGISLATION SEP 25, 2011
Fiduciary timetable pushed back into 2012

Advocates of extending fiduciary duty to cover more financial advisers had their hopes dashed last week &#8212; at least temporarily &#8212; as the two federal agencies that have been considering such a rule acknowledged that no action will be taken this year

NEWS REGULATION AND LEGISLATION SEP 23, 2011
Liars clubbed? SEC cracking down on tarted-up ADVs

Commission looks to smoke out exaggerations about education, AUM; 'unlikely to graduate to larger frauds'

Are your tax-free munis legit? The IRS wants to know
NEWS RETIREMENT PLANNING SEP 23, 2011
Are your tax-free munis legit? The IRS wants to know

Agency to begin collecting data on municipal bonds from MSRB; has authority to nix tax break

Compliance expert: 'Switch' will dramatically undercut oversight
NEWS REGULATION AND LEGISLATION SEP 23, 2011
Compliance expert: 'Switch' will dramatically undercut oversight

Many investment advisers are busily preparing for the upcoming switch from SEC oversight to state regulation. But one compliance expert believes enforcement will drop off dramatically after the hand-off, and in some states, advisers won't even face examinations. | <b>Extra</b> <a href=http://www.investmentnews.com/apps/pbcs.dll/gallery?Site=CI&amp;Date=20110923&amp;Category=FREE&amp;ArtNo=923009999&amp;Ref=PH>The 10 states with the most CFPs</a> | <b>Comp</b> <a href=http://www.investmentnews.com/apps/pbcs.dll/gallery?Site=CI&amp;Date=20110923&amp;Category=FREE&amp;ArtNo=923009998&amp;Ref=PH>What top RIA execs make</a>