Author
Subscribe
Log In
    • Practice & Client Management
    • Recruiting
    • Professional Development
    • Growth Strategies
    • Compensation
    • Practice & Client Management
    • Recruiting
    • Professional Development
    • Growth Strategies
    • Compensation
    • Wealth Management
    • Investment Strategies
    • Estate Planning
    • Retirement Planning
    • ESG
    • Financial Advisor Confidence Outlook
    • Wealth Management
    • Investment Strategies
    • Estate Planning
    • Retirement Planning
    • ESG
    • Financial Advisor Confidence Outlook
    • Regulation & Compliance
    • Tax
    • Politics & Policy
    • Risk
    • Fraud
    • Regulation & Compliance
    • Tax
    • Politics & Policy
    • Risk
    • Fraud
    • Fintech
    • Artificial Intelligence
    • Advances in Tech
    • Fintech
    • Artificial Intelligence
    • Advances in Tech
    • Industry News
    • M&A
    • Career Moves
    • Earnings
    • Diversity & Equality
    • Industry News
    • M&A
    • Career Moves
    • Earnings
    • Diversity & Equality
    • Wealth Think
    • Ask an Advisor
    • Wealth Think
    • Ask an Advisor
    • Advise AI
    • All Events
    • Advise AI
    • All Events
    • CE Quiz
    • Webinars & Whitepapers
    • Magazine
    • CE Quiz
    • Webinars & Whitepapers
    • Magazine
  • facebook
  • twitter
  • whatsapp
  • linkedin
© 2026 Arizent. All rights reserved.
Subscribe
Log In
    • Practice & Client Management
    • Recruiting
    • Professional Development
    • Growth Strategies
    • Compensation
    • Wealth Management
    • Investment Strategies
    • Estate Planning
    • Retirement Planning
    • ESG
    • Financial Advisor Confidence Outlook
    • Regulation & Compliance
    • Tax
    • Politics & Policy
    • Risk
    • Fraud
    • Fintech
    • Artificial Intelligence
    • Advances in Tech
    • Industry News
    • M&A
    • Career Moves
    • Earnings
    • Diversity & Equality
    • Wealth Think
    • Ask an Advisor
    • Advise AI
    • All Events
    • CE Quiz
    • Webinars & Whitepapers
    • Magazine
  • Wealth Management
  • Investing Strategies
  • RIAs
  • Recruiting
  • CE Quiz
  • LEADERS
  • Featured Research
Ann Marsh 85

Ann Marsh

Connect with Ann
  • mailto
  • Van Walleghem-Lisa-Dynasty
    RIAs
    Merrill brokers with $550M AUM switch to Dynasty

    The boutique firm focuses on ultrahigh-net-worth entrepreneurs worldwide.

    By Ann Marsh
    September 13
  • JudgeWithGavel-GettyImages
    Regulatory reform
    Camardas ask court to unseal documents in CFP Board case

    The public has a right to review the board’s documents, husband-and-wife planners Jeffrey and Kimberly Camarda say.

    By Ann Marsh
    September 7
  • Jeffrey-and-Kimberly-Camarda
    Law and regulation
    Lawsuit by planners could be last CFP Board faces

    Decision expected in appeal of case brought by advisers the board says called themselves fee-only inappropriately.

    By Ann Marsh
    September 7
  • Larry Roth Robert Moore
    Independent BDs
    Cetera: Roth out, Moore in

    "Given all of the turmoil there, you need to have some consistency in leadership and [Roth] was it," one expert says.

    By Ann Marsh
    September 1
  • LarryRoth
    Career moves
    Cetera considering regime change, CEO Larry Roth says

    Is Roth on his way out?

    By Ann Marsh
    August 29
  • Ceresney-Andrew-SEC-iag-2016
    Regulatory actions and programs
    How 13 firms got caught up in SEC sweep

    These investment advisories paid the price for passing along performance data faked by a third-party manager.

    By Ann Marsh
    August 26
  • Arnold-Dan
    Compliance
    LPL in full court press to comply with DoL rule, execs tell advisers

    The country's largest independent broker-dealer says compliance with the new fiduciary rule will offer competitive advantages.

    By Ann Marsh
    August 23
  • Income Solutions
    Independent BDs
    Secret sauce for asset retention: An internal trust officer

    This in-house position helps one firm attract larger clients and build contractual relationships with descendants.

    By Ann Marsh
    August 23
  • lpl
    Regulatory actions and programs
    LPL is 'rounding a new corner' on service problems, CEO Mark Casady says

    The firm says it has put regulatory fines in its rearview mirror, has invested in tech upgrades and has devoted resources to helping advisers adapt to the DoL fiduciary rule.

    By Ann Marsh
    August 22
  • Ceresney-Andrew-SEC-iag-2016
    SEC regulations
    What's next in the crosshairs for SEC enforcement chief?

    In a rare interview, Andrew Ceresney reveals the commission's beefed-up efforts, and what advisers should know.

    By Ann Marsh
    August 16
  • sec
    Regulatory actions and programs
    SEC charges adviser with stealing $800K, inflating AUM

    Nicholas Mitsakos allegedly used the funds to pay his credit card bills and make payments on his Mercedes, authorities charge.

    By Ann Marsh
    August 16
  • Rydzewski-Leo
    Financial regulations
    CFP Board opens up new mandatory arbitration to more scrutiny

    After taking away CFPs' right to sue the board, it makes two concessions to critics. Still, the process points to governance problems at the board, Michael Kitces says.

    By Ann Marsh
    August 15
  • NFL-logo
    Regulatory actions and programs
    Former NFL linebacker and ex-wirehouse advisor ran $10M fraud, SEC charges

    Former Philadelphia Eagles player Merrill Robertson Jr. funded "luxurious" lifestyle with life savings of football coaches, complaint says.

    By Ann Marsh
    August 11
  • High flyer: Salmen, a 25 year industry veteran, is known for piloting his own pressured twin Cessna to work.
    CFPs
    CFP Board taps high-flying planner as chair-elect

    Retired air traffic controller and former FPA president Richard Salmen was named to a one-year term in 2018, succeeding Blaine Aiken.

    By Ann Marsh
    August 3
  • EricaMcGinnis
    Independent BDs
    Advisor Group demotes CEO amid tough times for IBDs

    Nascent partnership at largest female-run IBD ends as Erica McGinnis leaves top spot. Expect more heads to roll, one expert says.

    By Ann Marsh
    August 2
  • lpl
    Independent BDs
    At LPL, OSJs take twin hits

    The leading IBD cut a top consulting division that catered to its largest firms and set up potential conflict between groups of advisers: those in and out of OSJs.

    By Ann Marsh
    July 29
  • Swift-Robert-pro-bono
    Wealth management
    How advisors are advancing financial literacy

    RIAs snag annual FP Pro Bono Awards for innovative programs.

    By Ann Marsh
    July 29
  • Wells_Fargo_Building_Bloomberg
    Independent BDs
    Advisers with $780M in combined AUM go with FiNet

    Wells Fargo's independent arm landed seven recruits in its latest efforts to add more than the 102 advisers recruited from competitors last year.

    By Ann Marsh
    July 27
  • sec
    Regulatory actions and programs
    2 ex-brokers pocketed $5M in client funds, SEC charges

    The alleged wrongdoers transferred client money to their wives’ accounts, the commission says.

    By Ann Marsh
    July 22
  • 0628FP.SEC
    Compliance
    New conflict of interest concerns: SEC fines RIAs for BD loans

    Two firms were fined over $100,000 for not disclosing nearly $5M in loans to clients.

    By Ann Marsh and Charles Paikert
    July 19
Load More
CAN RIA GROWTH AND TRUE FIDUCIARY DUTY REALLY COEXIST?

Business goals cannot always put clients' best interests first. Here's why even the executives leading fast-expanding advisory firms say the critics have a point.

FP_November-December_2024.jpg
  • googlenews
  • twitter
  • applenews
  • whatsapp
  • facebook
  • linkedin
    • About Us
    • Contact Us
    • Help Center
    • CE Quiz
    • RSS Feed
    • Privacy Policy
    • AI Policy
    • Subscription Agreement
    • Advertising/Marketing Services
    • Content Licensing/Reprints
Arizent Logo
© 2026 Arizent. All rights reserved.
Arizent Logo
© 2026 Arizent. All rights reserved.