Regulation And Legislation

Displaying 10374 results
NEWS RETIREMENT PLANNING JUL 26, 2007
401(k) disclosure legislation introduced

A bill that would increase 401(k) disclosure should be put on hold, according to the American Benefits Council.

NEWS LIFE INSURANCE AND ANNUITIES JUL 25, 2007
National Insurance Act repitched

The first bipartisan House version of the National Insurance Act of 2007 was reintroduced today.

NEWS REGULATION AND LEGISLATION JUL 23, 2007
DOL said to keep stable value off default option list

The Department of Labor has rejected a proposal by the insurance industry to include stable-value funds as a default option for 401(k) plans, according to industry sources.

NEWS REGULATION AND LEGISLATION JUL 23, 2007
Washington state pushes for designation regs

WASHINGTON — Washington early this month became the third state to move toward regulating adviser designations when it issued two concept releases asking for public comments on the issue.

NEWS RETIREMENT PLANNING JUL 23, 2007
Plan sponsors embrace default investment alternatives

CHICAGO — While the Department of Labor has yet to issue final regulations on default options for 401(k) plans, many companies are jumping ahead and incorporating a qualified default investment alternative into their retirement plans.

NEWS REGULATION AND LEGISLATION JUL 16, 2007
SIFMA draws flak for Florida fee hikes

Some brokerage firms are miffed about higher registration fees that Florida implemented this month, and blame the Securities Industry and Financial Markets Association for not doing enough to stop the increases.

NEWS REGULATION AND LEGISLATION JUL 16, 2007
SEC hits hedge fund regulatory hurdle

A proposal to provide tougher qualification standards for investing in hedge funds and other alternative investments has proved to be so controversial that the Securities and Exchange Commission may have to alter the plan or scrap it altogether.

NEWS REGULATION AND LEGISLATION JUL 16, 2007
Dispute over broker-dealer cash erupts

IRVINE, Calif. — An SEC proposal to change how broker-dealers can invest customer reserve funds has come under attack from a variety of industry interests.

NEWS REGULATION AND LEGISLATION JUL 16, 2007
Firm aims to make DB plans a product advisers can sell

SAN FRANCISCO — A small company is betting that it can turn defined benefit plans into a mainstream product for financial advisers to sell.

NEWS MUTUAL FUNDS JUL 11, 2007
Mutual funds fall under hedge regulation

Mutual funds will now be subject to a new rule that prohibits fraud in hedge funds and other private investment pools.

NEWS REGULATION AND LEGISLATION JUL 09, 2007
12(b)-1 fees come under attack again

On the heels of the federal appeals court decision rejecting fee-based brokerage accounts, brokers are facing yet another challenge from consumer advocates who are questioning whether 12(b)-1 fees are being used illegally.

NEWS REGULATION AND LEGISLATION JUN 25, 2007
Bernanke gets high marks despite economy’s hiccups

SAN FRANCISCO — The U.S. economy has some shaky elements, but Federal Reserve Board Chairman Ben S. Bernanke’s track record still is rock solid, according to financial advisers, chief economists and other executives in the investments industry.

NEWS REGULATION AND LEGISLATION JUN 25, 2007
Canada to weigh single regulator, existing alternatives

OTTAWA — In a confusing compromise, federal Finance Minister Jim Flaherty and his peers from the provinces and territories agreed last Tuesday that the feds would set up a panel to study the creation of a single Canadian securities regulator.

NEWS MUTUAL FUNDS JUN 25, 2007
Make 12(b)-1 fee disclosures more discernible

WASHINGTON — Disclosures of 12(b)-1 fees should be made clearer and easier to decipher, but the fees themselves should not be abolished, officials from the mutual fund and brokerage industries said at a Securities and Exchange Commission round table last week.

NEWS REGULATION AND LEGISLATION JUN 19, 2007
Reyes’ fraud, conspiracy trial begins

Federal court trials have started for Gregory L. Reyes, former chief executive of Brocade Communications.

NEWS MUTUAL FUNDS JUN 19, 2007
SEC anticipated use of 12(b)-1 fees

Compensating brokers for servicing mutual fund shareholders was anticipated by the SEC when it first adopted12(b)-1 fees in 1980.

NEWS REGULATION AND LEGISLATION JUN 18, 2007
Software makers eye adviser compliance market

WASHINGTON — Registered investment advisers are likely to outspend other financial intermediaries for compliance software, according to a recent report by Celent LLC, a Boston-based research and consulting firm.

NEWS REGULATION AND LEGISLATION JUN 18, 2007
Rules may be relaxed for foreign brokers

WASHINGTON — U.S. investors could face reduced protections if the Securities and Exchange Commission loosens restrictions to allow foreign brokerage firms to offer securities in the United States, according to some speakers last week at a daylong SEC public meeting on cross-border regulation.

NEWS REGULATION AND LEGISLATION JUN 18, 2007
Sales practices for structured products debated

IRVINE, Calif. — A debate is brewing over the establishment of retail-sales-practice guidelines for structured products.

NEWS REGULATION AND LEGISLATION JUN 11, 2007
NASD opts to maintain its OSJ definition

IRVINE, Calif. — NASD has dropped a controversial proposal to revamp its branch office definitions.