Regulation And Legislation

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NEWS REGULATION AND LEGISLATION DEC 16, 2009
FSI supports self-regulator for advisers

The Financial Services Institute Inc. is now clamoring for a self-regulatory organization to oversee investment advisers.

NEWS REGULATION AND LEGISLATION DEC 15, 2009
PA bond seller gets jail time for scamming schools

A suburban Philadelphia man will spend a year and a day in federal prison for selling high-risk securities to four Pennsylvania school districts.

NEWS REGULATION AND LEGISLATION DEC 14, 2009
SEC reopens comment period on board nomination proposal

The Securities and Exchange Commission will reopen the comment period for its shareholder director nomination proposal.

NEWS REGULATION AND LEGISLATION DEC 14, 2009
Chief lobbyist leaving SIFMA for restaurant association

Scott DeFife, senior managing director of government affairs at the Securities Industry and Financial Markets Association, is leaving to take a job at the National Restaurant Association.

NEWS MUTUAL FUNDS DEC 13, 2009
He gets riled about risk

Before being elected to the Senate, Herb Kohl ran his family's grocery and department store business.

NEWS REGULATION AND LEGISLATION DEC 13, 2009
No limelight, just labor

House Financial Services Committee Chairman Barney Frank, D-Mass., gets most of the attention on banking and securities issues, but the committee's second-ranking Democrat, Rep. Paul Kanjorski, is the one handling the issues most important to financial advisers.

NEWS REGULATION AND LEGISLATION DEC 13, 2009
In reform, defending states' rights

Denise Voigt Crawford is fighting the war for the states.

NEWS REGULATION AND LEGISLATION DEC 13, 2009
Once burned, he's not shy about demands

Sen. Christopher Dodd has his own reasons for pushing hard for financial services reform next year.

NEWS REGULATION AND LEGISLATION DEC 13, 2009
When they talk, you'll listen

In these nail-biting times, advisers need to know who the big shots are.

NEWS REGULATION AND LEGISLATION DEC 13, 2009
Her past is a problem

Financial advisers see “Finra” plastered across SEC Chairman Mary Schapiro's forehead, and it makes them nervous.

NEWS REGULATION AND LEGISLATION DEC 13, 2009
At the helm in stormy seas

A leading securities regulator for the lion's share of his career, Finra chairman and chief executive Richard Ketchum is poised to oversee one of the most significant day-to-day changes most registered representatives will ever experience.

NEWS REGULATION AND LEGISLATION DEC 13, 2009
A policy wonk with a mission

J. Mark Iwry is the quarterback of the Obama administration's retirement policy team, but he'll play offense, defense and for the other side when it comes to his mission: to find new ways to help Americans save.

NEWS REGULATION AND LEGISLATION DEC 11, 2009
Barney Frank will move to scrap amendment that would expand Finra's reach

House Financial Markets Committee Chairman Barney Frank, D-Mass., will move to strip a controversial amendment from the Investor Protection Act — which the House Financial Services Committee approved with a 41-28 vote today — that would give Finra power over a quarter of all federally-registered investment advisory firms.

NEWS REGULATION AND LEGISLATION DEC 10, 2009
Kohl's oversight proposal is panned

The Financial Planning Coalition has found a last-minute angel in Sen. Herbert Kohl, who wants to establish a Federal oversight board for planners. Insurers and state regulators are less enthusiastic about the idea.

NEWS REGULATION AND LEGISLATION DEC 10, 2009
Proposal would mean less oversight for some B-D auditors

An amendment to legislation to be considered today by the House Rules Committee could exempt accounting firms that audit certain broker-dealers from having to register with the Public Company Accounting Oversight Board.

NEWS REGULATION AND LEGISLATION DEC 10, 2009
Panel orders Merrill to pay $500K for Mattia termination

A Financial Industry Regulatory Authority Inc. arbitration panel has ruled that Merrill Lynch & Co. Inc. wrongfully terminated Joseph Mattia when it fired the former branch manager of the bank's flagship office in Manhattan.

NEWS MUTUAL FUNDS DEC 09, 2009
Little Rock investment show host fined for alleged mutual fund fraud

The Arkansas Securities Department announced Tuesday that it fined a broker $50,000 and suspended his license for two weeks after a probe into alleged fraudulent mutual fund sales

NEWS RETIREMENT PLANNING DEC 09, 2009
How picky is picky? Advice regs an unknown

More-restrictive investment advice regulations are coming now that the Labor Department has killed a controversial Bush administration proposal that would have permitted the mutual fund industry to provide direct investment advice to defined contribution plan participants.

NEWS REGULATION AND LEGISLATION DEC 09, 2009
Money manager and radio personality charged with foreign-currency fraud

The SEC has obtained an emergency court order freezing the assets of a Minneapolis money manager and a nationally syndicated radio personality for allegedly operating a foreign-currency-trading scheme.

NEWS REGULATION AND LEGISLATION DEC 09, 2009
SEC told to tighten process for investigating advisers

The Securities and Exchange Commission must tighten its process for deciding which investment advisers to inspect if it is to avoid colossal breakdowns like the one that allowed Bernard Madoff's multibillion-dollar fraud to go undetected for 16 years, the agency's inspector general says.