Practice and Client Management News
Financial Planning's Practice and Client Management coverage includes essential advisor-level strategy and operational insight for firms and solo practitioners. Read how elite advisors build retention-driven practices, manage high net worth relationships and operationalize growth frameworks that go beyond rudimentary 101 topics. Learn the latest financial planning news from expert reporting and analysis that matters to industry leaders.
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An SEC rule that would increase requirements for companies to disclose their emissions was paused following a lawsuit this spring.
June 21 -
With a rush of individuals exploring alternative assets for the first time, advisor platform CAIS is slashing fees that it says affect portfolio performance for such investments.
June 21 -
An advisor in Los Angeles wants to help his clients with their estate planning, which requires thinking about death. How can he broach the subject without scaring them?
June 20 -
The latest legal challenge to the firm's "cash sweeps" policies argues advisors violated their fiduciary duties by not procuring higher yields for clients.
June 20 -
The trailblazers who have found success in challenging circumstances shared key lessons and best practices as part of what will become an annual event.
June 20 -
Financial advisors can create welcoming spaces, understand family structures, be thorough with paperwork and maximize savings.
June 20 -
An industry recruiter notes that many wealth managers who switch firms receive money from their new employer to cover forfeited deferred compensation.
June 18










