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The regulator gave the firm credit for “extraordinary cooperation” despite alleging that its system failed for six years to the tune of more than $13 million.
June 6 -
Firms like Morgan Stanley, Goldman Sachs and Commonwealth have made changes under the rule, but the SEC is sending tough and vague messages.
May 19 -
More financial advisors are accusing independent wealth managers of acting like wirehouses and other employee brokerages upon their departures.
May 18 -
With recent cases as teachable moments on what not to do, two of the top cops on the wealth management beat offer lessons to the industry.
May 17 -
Alternative investments such as leveraged or inverse ETFs, complex exchange-traded products and options remain areas of concern to the regulator.
May 16 -
Market volatility and the Fed's interest rate increases aren't likely to reverse the trend.
May 6 -
While the regulator claims stricter access and education requirements may protect retail investors, it’s argued that financial advisors can do a better job.
May 5 -
In a panel held by NASAA, experts from giant wealth managers explained how reps and their teams often serve as the first line of defense.
May 4 -
A 38-year veteran financial advisor won a significant award in FINRA arbitration after a brokerage claimed he made unauthorized trades.
May 4 -
Critics of FINRA’s current system for removing client complaints from brokers’ records are seeking to vacate an arbitration award.
May 3 -
The wirehouses respectively ran afoul of requirements related to two industry recordkeeping systems over roughly three years, according to FINRA.
May 3 -
Despite earlier alerts and a wave of cases related to the LJM Preservation & Growth Fund, the regulator sees “continuing” deficiencies.
May 2 -
The regulator is asking for adoption of the proposal it put on hold last year while opening discussions for other improvements to the process.
April 28 -
Whether it's a watchdog or up-and-coming advisor, claims and counterclaims are plentiful across the industry.
April 27 -
First Horizon Advisors resolved a supervisory investigation involving a former rep after its parent firm announced it’s being purchased for $13.4 billion.
April 21 -
The FINRA arbitration decision omits any details or reasoning for the award in a case involving a broker’s email to his former colleagues.
April 20 -
With the barred former rep in the Dominican Republic, a court filing asks a state judge to toss a FINRA panel’s decision absolving the firm of responsibility.
April 13 -
Once facing scrutiny for its relationship with a previous majority shareholder, the firm settled the regulator’s allegations about an issuer it called “Company A.”
April 12 -
UBS brokers rack up expungements of Puerto Rico complaints
April 7 -
Denise Badgerow won her long legal fight, while a Pennsylvania RIA and the Massachusetts securities regulator are currently weighing their options after decisions.
April 6

















