Regulation And Legislation

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NEWS REGULATION AND LEGISLATION OCT 01, 2010
SEC, CFTC consider more rules to defuse 'flash crash'

Joint task force holds panel discussion with ETF providers, experts

NEWS REGULATION AND LEGISLATION SEP 30, 2010
Regulators vow to cooperate on financial reform

Five leading financial regulators and a Treasury Department official told lawmakers today that their agencies are working together to implement the sweeping financial-regulatory-reform law.

NEWS REGULATION AND LEGISLATION SEP 29, 2010
Wall Street lobbyists descend upon 'sleepy little agency'

Banks swarm the CFTC in a bid to to blunt new derivatives rules. One official described the campaign as 'unprecedented'

NEWS REGULATION AND LEGISLATION SEP 28, 2010
Is leader of SEC fiduciary study leaning towards single standard?

Retail investors should be able to rely on the financial guidance they receive, regardless of whether it's from an investment adviser or a broker, according to the SEC official leading the agency's study of fiduciary duty.

SEC looking into advisers' sales of model ETF portfolios
NEWS ETFS SEP 28, 2010
SEC looking into advisers' sales of model ETF portfolios

The Securities and Exchange Commission is examining the burgeoning business of financial advisers' selling model portfolios of exchange-traded funds.

NEWS ALTERNATIVES SEP 28, 2010
SEC quizzes money managers about alternative investments

Regulator eyes cozy relationship between asset managers and hedgies, PE execs; 'proactive approach'

MetLife, Prudential now facing limits on retaining death benefits
NEWS LIFE INSURANCE AND ANNUITIES SEP 28, 2010
MetLife, Prudential now facing limits on retaining death benefits

U.S. life insurers, a group led by MetLife Inc. and Prudential Financial Inc., would be prohibited from retaining death benefits without specific consent of clients, under a proposal today by state legislators.

NEWS REGULATION AND LEGISLATION SEP 28, 2010
Incite: Hey brokers, the SEC is right about 12(b)-1

Despite criticism from the brokerage industry, a revamp of 12(b)-1 fees is long overdue

NEWS REGULATION AND LEGISLATION SEP 28, 2010
State securities cops' plates may soon be fuller

An additional 4,200 investment advisory firms regulated by the Securities and Exchange Commission will fall under the purview of state regulators if the Senate passes the financial-reform bill.

NEWS REGULATION AND LEGISLATION SEP 27, 2010
GOP faces long odds in reversing Dodd-Frank

Even if Republicans make gains in the elections, financial reform – including the push for a universal standard of care for advisers – will be hard to derail

NEWS REGULATION AND LEGISLATION SEP 27, 2010
Investors want fiduciary rules to be uniform

Although it is still unclear whether the Securities and Exchange Commission will back a universal standard of care for brokers and investment advisers, one thing is certain: Investors want a single standard.

NEWS REGULATION AND LEGISLATION SEP 26, 2010
Advisers vexed, confused by Dodd-Frank bill

NEWS PRACTICE MANAGEMENT SEP 26, 2010
For advisers, talking politics with clients makes little sense

I thought the article “No profit in talking politics with clients” (Aug. 29) was spot-on.

NEWS REGULATION AND LEGISLATION SEP 26, 2010
Fidelity ordered to pay $110K to elderly client with Parkinson's

Ex-Citigroup rep fined — $500 — in 'squawk box' case
NEWS REGULATION AND LEGISLATION SEP 26, 2010
Ex-Citigroup rep fined — $500 — in 'squawk box' case

Former Citigroup Inc. stockbroker Ralph Casbarro was fined $500 and received no prison sentence or probation for his involvement in a scheme to let day traders eavesdrop on internal conversations over brokers' “squawk boxes.”

NEWS REGULATION AND LEGISLATION SEP 24, 2010
Advisers vexed, confused by Dodd-Frank reform

In the two months since sweeping financial reform legislation became law, the measure has failed to win over the vast majority of investment advisers. Others say they're just plain confused by it.

NEWS REGULATION AND LEGISLATION SEP 24, 2010
SIFMA quietly pleads for delay of changes to fiduciary standard

The Securities Industry and Financial Markets Association wants to delay the effective date of any new standard of care that the Securities and Exchange Commission may adopt for brokers giving advice to retail investors.

NEWS REGULATION AND LEGISLATION SEP 24, 2010
Industry groups weigh in — and then some — on fiduciary provision

It appears the SEC will be sorting through its mail for some time.

NEWS FINTECH SEP 23, 2010
Moxy 7.0 trade order management now available from Advent

Advent Software yesterday announced availability of Moxy 7.0, the latest version of the trade order management system that's so popular with registered investment advisory firms

NEWS REGULATION AND LEGISLATION SEP 23, 2010
Are high-tech market makers making a mess of the markets?

SEC eyes tougher rules for high-frequency traders; loss of specialists bemoaned