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Ann Marsh 85

Ann Marsh

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  • RIAs
    AMG Wealth Buys Large RIA myCIO Wealth Partners

    Aggregator adds myCIO to its four previous investments Veritable, Clarfeld Financial, Baker Street Advisors and Welch & Forbes.

    By Ann Marsh
    July 14
  • RIAs
    Competitors Team Up: LPL Adds Large RIA Ronald Blue as Client

    LPL aims to serve retirement plan assets of large RIAs, some of its strongest competitors in non-retirement plan advisory work.

    By Ann Marsh
    July 10
  • Practice management
    Big CFP Board Win: Judge Throws Out Fee-Only Case

    The Camardas' suit was prompted by board’s disciplinary policies; experts call on judge to reveal his reasoning for the good of the planning profession.

    By Ann Marsh
    July 8
  • FINRA Candidate Says He'd Represent Firms, Not Investors
    Practice management
    FINRA Candidate Says He'd Represent Firms, Not Investors

    FSI endorses IBD head Brian Kovack for FINRA post; Kovack hopes to win mid-sized IBD seat in which he would says he would represent firms, not investors.

    By Ann Marsh
    July 6
  • Investment insights
    Good Steward or Salesman? How to Evaluate Fund Managers

    Advisors can take these steps to evaluate funds to ensure they are operating at the highest standard.

    By Ann Marsh
    June 26
  • Investment products
    New Morningstar Tool Seeks to Settle Active-Passive Debate

    Morningstar is now rating active fund managers against a composite of passive managers, net of fees, every six months.

    By Ann Marsh
    June 26
  • Practice management
    Bring in New Assets With Sustainable Investing

    A Morgan Stanley exec and other industry experts urge financial planners to embrace this approach to making investments, popular with both millennials and women.

    By Ann Marsh
    June 26
  • Practice management
    How Behavior Shapes Retirement Planning

    Advisors play a crucial role in keeping clients accountable to their retirement savings plans, according to experts at the Morningstar conference.

    By Ann Marsh
    June 25
  • Practice management
    SEC Zeros In on Retirement Advisors Amid 'Staggering' Fraud

    The commission ups its scrutiny of retirement-focused advisors and broker-dealers as elder fraud skyrockets, securities lawyer says.

    By Ann Marsh
    June 23
  • Practice management
    Ex-Advisor to Mike Tyson Stole Clients' Money, SEC Says

    Brian Ourand, former president of SFX Financial Advisory, stole $670,000 from clients, the SEC alleges; his former CCO and SFX agree to pay fines to the SEC.

    By Ann Marsh
    June 23
  • Practice management
    Barred Advisors 'Threw Away' Careers Over Insider Trading

    Two former National Planning Corporation brokers "are just normal dudes and they just screwed up," says a lawyer for one of the men.

    By Ann Marsh
    June 22
  • Practice management
    How Digital Do You Want to Be?

    Pershing CIO Ram Nagappan offers a framework to help advisors think about how to transform their businesses to digital.

    By Ann Marsh
    June 19
  • Independent BDs
    United Capital Buys Advisory Division of StanCorp Financial

    Roll-up firm adds six advisors from the insurer and one more from Hutchinson Financial.

    By Ann Marsh
    June 12
  • Retirement planning
    It's Not About Timing: IRS on Backdoor Roth Conversions

    Planners agree that the strategy is a boon for high-income clients, but controversy swirls around the issue of timing.

    By Ann Marsh
    June 9
  • Practice management
    New SEC Directive Reveals Key Agency Failing, Critics Say

    SEC sends contradictory message, critics say, urging the public's vigilance yet displaying leniency to a deceitful advisor.

    By Ann Marsh
    June 4
  • Practice management
    Gold Stash in Broker's Basement? Bought With Client's Money, FBI Says

    A federal grand jury has indicted a former broker with Securities America and Investors Security Company on 16 criminal counts ranging from wire fraud to money laundering.

    By Ann Marsh
    June 3
  • finraad
    Practice management
    Is Costly New FINRA Ad Campaign Misleading?

    Incomplete BrokerCheck reports give investors a false sense of security, critics say; Some Google searches do better.

    By Ann Marsh
    June 3
  • Practice management
    Ex-Compliance Chief Charged With Looting $500,000

    Two federal agencies have charged William Quigley, Trident Partners' ex-compliance chief, with using his position to defraud overseas investors.

    By Ann Marsh
    May 29
  • ETFs Top Mutual Funds for Advisors, Survey Finds
    Practice management
    ETFs Top Mutual Funds for Advisors, Survey Finds

    In all, 81% of advisors surveyed said they used or recommended ETFs versus 78% who used or recommended mutual funds, according to an annual FPA survey.

    By Ann Marsh
    May 28
  • Practice management
    5 Tips for Backdoor Roth Conversions

    Put affluent clients' annual contributions into an IRA and then convert it to a Roth on the same day, says Aspiriant's Ray Edwards.

    By Ann Marsh
    May 27
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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.