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State regulators reveal top enforcement targets and the price they pay
PRACTICE MANAGEMENT SEP 30, 2016
State regulators reveal top enforcement targets and the price they pay

Agencies brought more cases against registered advisers than unregistered entities, and certain products featured in many of them.

RIAS SEP 29, 2016
SEC charges broker with fraudulently raising $3.2 million for his failing mutual funds

Peter Kohli, the CEO of DMS Advisors, allegedly stole money from investors as the funds neared collapse.

PRACTICE MANAGEMENT SEP 29, 2016
Financial advisers' business models need changing to win over millennial clients: expert

Products and services geared toward baby boomers won't work for the younger generation, according to a presentation at the IMCA Private Wealth Advisor Conference in Chicago.

PRACTICE MANAGEMENT SEP 28, 2016
More than half of the student-loan borrowers regret going into debt: Finra study

PRACTICE MANAGEMENT SEP 28, 2016
How advisers can explain investing done right

Shift from focusing on investment returns to talking to clients about their goals.

Fidelity's eMoney introducing DOL fiduciary compliance functions for advisers
FINTECH SEP 28, 2016
Fidelity's eMoney introducing DOL fiduciary compliance functions for advisers

Software firm is boosting compliance functions of its financial planning platform. <b><i>(More: <a href=&quot;http://www.investmentnews.com/section/fiduciary-focus &quot; target=&quot;_blank&quot;>The most up-to-date information on the DOL fiduciary rule</a>)</i></b>

FINTECH SEP 27, 2016
Tech-tardy advisers, prepare for a late-adopter penalty

Firms that don't invest in tools to improve the client experience, such as those that allow for frequent interactions with the adviser, will lose out.

PRACTICE MANAGEMENT SEP 27, 2016
SEC gets staff recommendation to allow third-party exams

Mary Jo White says the commission is reviewing a staff proposal and could vote to move ahead with independent audits.

Morgan Stanley team with $427M in assets jumps to Wells Fargo
PRACTICE MANAGEMENT SEP 27, 2016
Morgan Stanley team with $427M in assets jumps to Wells Fargo

Brian Latz, John Cicillini and Kenneth Cariota joined their new firm Sept. 1.

PRACTICE MANAGEMENT SEP 26, 2016
College financial aid process begins Saturday

Remind clients that FAFSAs for the 2017-18 school year are out three months earlier this year, and now allow reporting prior-prior year income data, or 2015.

EQUITIES SEP 26, 2016
SEC charges duo in defrauding seniors and others in $20 million penny-stock scam

Former head of two microcaps worked with boiler room operator whose agents pressured investors and promised them lucrative profits.

EQUITIES SEP 23, 2016
Morgan Stanley: DOL fiduciary rule turns brokerage business into a buy

Plus: Trump would dump Yellen, bracing for the next housing bubble, and 401(k) realities that should not be ignored

Fees fell by as much as 10% last year in investment advisory services
RIAS SEP 23, 2016
Fees fell by as much as 10% last year in investment advisory services

The DOL fiduciary rule and competition from robo-advisers will continue to result in pricing pressure.

PRACTICE MANAGEMENT SEP 23, 2016
How advisers can best deal with the death of a client

Here's what you should think about when putting together your practice's own bereavement plan.

RETIREMENT PLANNING SEP 22, 2016
This money tip could keep your marriage alive

A new study identifies how much, on average, is all right to spend without first talking to your partner.

WOMEN ADVISOR COMMUNITY SEP 21, 2016
Morgan Stanley urges advisers to embrace female-friendly investment strategies

The firm has about 30 investment products for clients who want to help women gain equality

FINTECH SEP 21, 2016
What top advisory firms do right when it comes to technology

Seventy-four percent of Elite RIAs said technology is strengthening their effectiveness as advisers, allowing them to better customize services to their clients.

DOL official downplays advisers' lawsuit fears stemming from fiduciary rule
PRACTICE MANAGEMENT SEP 21, 2016
DOL official downplays advisers' lawsuit fears stemming from fiduciary rule

Deputy assistant secretary Timothy Hauser also says liability exposure is relative to portfolio size, so regulation shouldn't prevent serving clients with modest assets.

PRACTICE MANAGEMENT SEP 20, 2016
What it takes to become an enterprise advisory firm

Financial advisory firms on an aggressive growth track should be mindful of where they might be headed.

PRACTICE MANAGEMENT SEP 20, 2016
Why the 9-to-5 schedule is zapping your business's productivity

Sitting in a chair for eight hours straight doesn't produce results, and the best hours for productivity vary from person to person.