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Ann Marsh 85

Ann Marsh

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  • RIAs
    Cetera Advisors' Message for RCS: Shape Up or Sell Us

    As Cetera is shopped around by Lazard, the IBD’s advisors say they want to stay with the firm but will leave if they must.

    By Ann Marsh
    October 20
  • Independent BDs
    Raymond James Lures 2 AXA Advisors Looking to Grow Biz

    Bijan Mohseni and David Townsend, who managed $150 million in client assets, enticed to Raymond James by firm's reputation and its back-office support.

    By Ann Marsh
    October 7
  • Practice management
    The Rising Allure of Super OSJs

    More advisors are affiliating with larger firms through richly resourced super OSJs that offer a close-knit working environment.

    By Ann Marsh
    October 1
  • Compliance
    SEC Brings New Case Against RIA Already On Hook for $48M Award

    Lee Dana Weiss and his firm Family Endowment Partners face numerous cases from clients as well.

    By Ann Marsh
    September 30
  • Independent BDs
    Small Banks Tap Independent Advisors To Drive Growth

    Merger of two LPL practices seeks to expand a new niche; banks seek non-interest, fee-based income from independent planners.

    By Ann Marsh
    September 29
  • Practice management
    Planners Often Have to Team Up, Take Outside Money, to Grow

    Focus Financial facilitates a three-way marriage of family office veterans who plan a bicoastal growth strategy.

    By Ann Marsh
    September 24
  • RIAs
    Is LPL Ripe for an Overhaul?

    By taking a 6.3% stake in LPL, activist investor Marcato Capital is expected to push for big changes, as it has at public companies such as BNY Mellon and Sotheby's.

    By Ann Marsh
    September 23
  • Compliance
    Total FINRA Fines Drop for First Half of 2015

    The industry regulatory organization remains close to hitting a historic high on financial penalties. Regulator is focusing on "bread-and-butter type issues," says expert, who expects more cybersecurity and anti-money laundering fines.

    By Ann Marsh
    September 22
  • Career moves
    Wells Fargo FINet Grabs 5 Triad Advisors

    Lure of large trust department, bank name recognition, more persuades five advisors in Redondo Beach, Calif., to switch.

    By Ann Marsh
    September 21
  • Compliance
    Merrill Fires Advisor For Allegedly Using Client's Credit Card

    The advisor opted not to fight FINRA, saying the allegation against him is without merit.

    By Ann Marsh
    September 17
  • Independent BDs
    Cetera Quietly Dumps Head of Wealth Management

    Steve Dunlap is one of at least six top leaders who have lost jobs at Cetera or its troubled parent, RCS Capital, during last ten months.

    By Ann Marsh
    September 11
  • Without its Life of the Party, eMoney Moves On
    Technology
    Without its Life of the Party, eMoney Moves On

    The independent Fidelity division can never be the same without its founder, but could still grow into a juggernaut, some planners say.

    By Ann Marsh
    September 9
  • Without its Life of the Party, eMoney Moves On
    RIAs
    Culture Clash Behind eMoney CEO's Sudden Split with Fidelity

    Edmond Walters's departure takes Fidelity by surprise, and throws plans for eMoney Advisor Summit next month into disarray.

    By Ann Marsh
    September 3
  • LarryRothCrop
    Independent BDs
    RCAP Says No Bad Blood In Roth's Departure

    Serving as an RCS Capital director proved too great a distraction from Larry Roth's role as Cetera CEO, a regional Cetera leader says.

    By Ann Marsh
    September 1
  • Independent BDs
    LPL's New Marketing Strategy: Naming Names

    Historically private on recruiting specifics, LPL hopes to attract new advisors by publishing names of advisors who've just joined.

    By Ann Marsh
    August 28
  • Independent BDs
    LPL Super OSJ Lands $300M Group

    Marzano Capital Group joins LPL-affiliated recruiting firm Independent Advisor Alliance.

    By Ann Marsh
    August 18
  • New Anti-Fiduciary Bill Faces Long, Long Odds
    Compliance
    Exclusive: ‘We are Absolutely Not Banning Commissions,’ says DoL Fiduciary Hearing Chief

    The government aims to reduce the "magnitude of the injury" to clients from conflicted advice, Timothy Hauser, the official who chaired the hearings on Capitol Hill, tells Financial Planning.

    By Ann Marsh
    August 17
  • Practice management
    'Is it Naive' to Permit Commission Sales? DoL Official Asks at Fiduciary Hearing

    A "cautionary" note on the third day of hearings after DoL officials quiz industry attorney in the slippery task of trying to ascertain details of common commission sales.

    By Ann Marsh
    August 13
  • DoL Hearings Delve Into Tales of Investor Woes and Advisor Fears
    Practice management
    DoL Hearings Delve Into Tales of Investor Woes and Advisor Fears

    Critics: DoL fiduciary rule would harm investors; Advocates: Americans' "retirement savings are being depleted by conflicts of interest every day."

    By Ann Marsh
    August 12
  • TomMcDonald
    Financial planning
    United Capital Lands Advisors With $415M in AUM

    The five-advisor team gives the roll-up its first offices in South Carolina.

    By Ann Marsh
    August 10
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
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© 2026 Arizent. All rights reserved.
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© 2026 Arizent. All rights reserved.