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Six fiduciary groups call on advisors press SEC to clarify the differences between advisory and brokerage business models.
June 28 -
The only other fund of its kind has $269 million in assets, a figure that’s ballooned roughly 1,700% this year.
June 27 -
The banker was accused of directing a scheme that tacked hidden fees onto billions of dollars’ worth of trades by sovereign funds and other investors.
June 27 -
The lawsuit follows a complaint by the SEC alleging that five men and three companies defrauded more than 600 investors.
June 27 -
Advisors recommended that clients sell positions in complex structured products to rack up fees, says the regulator.
June 26 -
Can an RIA take the first bite of the apple when it comes to a dually registered rep’s brokerage commissions?
June 26 -
Technology advancements aside, navigating the new regulatory requirements still takes work.
June 25
280 CapMarkets -
The reforms could serve as a checklist for firms looking to enhance their own cybersecurity posture in light of the regulator’s increased scrutiny.
June 21 -
Lawmakers praise the spirit of the rule, but want to see a true uniform fiduciary standard.
June 21 -
Issuers want the regulator to go further and make it easier for managers to choose the securities they add or subtract when they issue and redeem shares.
June 21 -
The court said the in-house SEC judge who handled Raymond Lucia’s case was a constitutional "officer," meaning he should have been directly appointed by the SEC.
June 21 -
The firm agreed to settle and admitted wrongdoing, according to the regulator.
June 20 -
Some of the proceeds went to commission a song with the lyrics: “Pop champagne in L.A., New York to Florida; buy another bottle just to spray it all over ya,” says the SEC.
June 19 -
Disparate voices in the fiduciary debate agree that Form CRS might be too dense and complex to achieve meaningful disclosure.
June 19 -
Fiduciary advocates lament the absence of the term from the SEC's rule, which they say fails to move beyond FINRA’s existing suitability standard, while the brokerage sector sees the proposal as a welcome jump in oversight.
June 15 -
FINRA plans to unveil a new user interface for its central registration depository system on June 30.
June 15 -
The move is an early indication of how firms may react to the demise of the Labor Department regulation.
June 15 -
The regulator obtained an emergency asset freeze against the advisor.
June 14 -
The regulation was dealt a fatal blow when a federal appeals court hearing a challenge to the rule by business groups vacated it in a split decision.
June 14 -
The wirehouse's traders and salespersons misled and overcharged clients with regard to the securities, the regulator charges.
June 13

















