Regulation And Legislation

Displaying 10372 results
Labor Secretary Marty Walsh expected to step down to take job as head of NHL players union
NEWS RETIREMENT PLANNING FEB 08, 2023
Labor Secretary Marty Walsh expected to step down to take job as head of NHL players union

When Walsh will officially step down has not yet been announced but Deputy Secretary Julie Su is expected to become acting head of the agency.

SEC emphasizes probing marketing rule, Reg BI compliance
NEWS PRACTICE MANAGEMENT FEB 07, 2023
SEC emphasizes probing marketing rule, Reg BI compliance

The agency's other examination priorities for this year include RIAs who manage private funds, ESG investing and crypto.

Securities regulators warn of risks related to self-directed IRAs
NEWS RETIREMENT PLANNING FEB 07, 2023
Securities regulators warn of risks related to self-directed IRAs

The SEC, Finra and NASAA issue identical alerts telling retirement savers they're on their own if they open accounts that give them complete autonomy on the investment lineup.

White House criticizes proposed GOP commission as 'death panel' for Social Security
NEWS RETIREMENT PLANNING FEB 07, 2023
White House criticizes proposed GOP commission as 'death panel' for Social Security

House Republicans had suggested negotiations on the debt limit could include an agreement to set up a commission to negotiate later changes to Social Security and Medicare to extend the programs' solvency.

Finra arbitrators order Credit Suisse to pay $1.3 million to former rep
NEWS WIREHOUSES FEB 06, 2023
Finra arbitrators order Credit Suisse to pay $1.3 million to former rep

The Swiss firm loses another dispute over deferred compensation related to the 2015 closure of its U.S. wealth management operation.

Opposition to ESG might just be getting started
NEWS ESG FEB 06, 2023
Opposition to ESG might just be getting started

Some politicians see it as part of a viable platform for the 2024 presidential election.

SECURE 2.0 provides breathing room for RMDs
NEWS RETIREMENT PLANNING FEB 06, 2023
SECURE 2.0 provides breathing room for RMDs

In addition to raising the age at which individuals must start taking required minimum distributions, the SECURE 2.0 Act also lowers the penalty for not taking an RMD.

Whose clients are they, anyway?
NEWS PRACTICE MANAGEMENT FEB 06, 2023
Whose clients are they, anyway?

Perhaps the reality is that neither firms nor advisors truly 'own' clients but rather are lessees of clients.

Republican bill would end the DOL ESG rule
NEWS ESG FEB 03, 2023
Republican bill would end the DOL ESG rule

The effort, the latest in an overall anti-ESG push from conservatives, is largely symbolic.

Website helps investors cut through regulatory thicket to find advisors
NEWS RIAS FEB 03, 2023
Website helps investors cut through regulatory thicket to find advisors

As it enters its fifth year, Investor.com has been redesigned to make it easier for investors to digest a financial firm's disciplinary history and conflicts.

Finra arbitrators order Raymond James, rep to pay nearly $20 million in raiding case
NEWS REGULATION AND LEGISLATION FEB 02, 2023
Finra arbitrators order Raymond James, rep to pay nearly $20 million in raiding case

Wells Fargo alleged that a 'coordinated' effort to lure away advisors depleted an Arkansas branch office, forcing it to close.

Finra fines, suspends two brokers for Reg BI violations
NEWS PRACTICE MANAGEMENT FEB 02, 2023
Finra fines, suspends two brokers for Reg BI violations

The self-regulator claimed the reps traded excessively in the accounts of elderly customers.

JPMorgan asks judge to throw out lawsuit over Jeffrey Epstein
NEWS REGULATION AND LEGISLATION FEB 02, 2023
JPMorgan asks judge to throw out lawsuit over Jeffrey Epstein

U.S. Virgin Islands claims the bank turned a blind eye to Epstein sex-trafficking, calling the allegation a 'masterclass in deflection.'

Brokerages need to update tech systems to show Reg BI work to SEC
NEWS PRACTICE MANAGEMENT FEB 01, 2023
Brokerages need to update tech systems to show Reg BI work to SEC

An SEC risk alert this week warned firms that surveillance systems fell short in ensuring reps consider costs and reasonably available alternatives. Will enforcement be next?

Inside the mind of the SEC
NEWS OPINION JAN 31, 2023
Inside the mind of the SEC

Last year, the agency managed to examine about 16% of all advisors, but it aims to do more exams in 2023.

Legislation lets funds delay redemptions if transfer involves senior abuse
NEWS RETIREMENT PLANNING JAN 31, 2023
Legislation lets funds delay redemptions if transfer involves senior abuse

The bill sails through House, 419-0, on a fast track. Its author, Rep. Ann Wagner, R-Mo., hopes the Senate acts this time around.

DOL’s ESG rule hit with long-shot lawsuit
NEWS RETIREMENT PLANNING JAN 31, 2023
DOL’s ESG rule hit with long-shot lawsuit

A legal challenge to the agency's rule on investments in retirement plans was inevitable, lawyers say.

Expatriate advisor finds a home and client base in France
NEWS RIAS JAN 30, 2023
Expatriate advisor finds a home and client base in France

Robert Levitt has traded Florida for the French Riviera, where he sees a wide-open market in the 250,000 Americans living there who need financial advice.

SEC staff finds B-Ds lack policies needed to comply with Reg BI
NEWS REGULATION AND LEGISLATION JAN 30, 2023
SEC staff finds B-Ds lack policies needed to comply with Reg BI

Broker-dealers are falling short in identifying and mitigating conflicts of interest, the agency said.

Finra bars ex-UBS broker in Texas who sold phony annuities
NEWS ALTERNATIVES JAN 30, 2023
Finra bars ex-UBS broker in Texas who sold phony annuities

According to Robert Earl Turner's BrokerCheck profile, UBS has settled six disputes with his customers for close to $12 million.