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FINRA and the SEC issued a joint risk alert and regulatory notice Wednesday, advising broker-dealers to make sure theyre mindful of whats going on within their branch offices and even offering some tips to ensure they remain in compliance.
November 30 -
FINRA has sanctioned eight firms and 10 individuals for selling interests in private placement offerings without having a reasonable basis for recommending the securities, the regulatory agency said in a statement. The sanctions included ordering more than $3.2 million in total restitution.
November 30 -
The SEC has charged three investment advisors OMNI Investment Advisors, Feltl & Company and Asset Advisors LLC for failing to implement compliance procedures to prevent securities law violations. OMNIs owner, Gary R. Beynon, was also charged.
November 28 -
An industry group has asked regulators to disclose the factors they will use to determine which muni broker-dealers pose more risks and should undergo compliance examinations more often under a new proposed exam program.
November 28 - Money Management Executive
THE INABILITY TO INNOVATE AND THE DIRECT impact of that on their firm's profitability are fund executives' biggest regulatory concerns.This is one of the key findings from Money Management Executive's 2011 Regulatory Outlook Survey of 184 industry executives by Lodestar Research Corp.
November 28 -
Rep. Barney Frank, the influential Massachusetts Democrat who championed legislation that made such a dramatic impact on the financial planning industry, will not seek re-election next year, capping a 32-year career in Congress.
November 28 - Money Management Executive
The fund industry has historically done an effective job of responding to regulatory challenges. Last Monday's show of force by the Investment Company Institute and 31 industry leaders was a case in point.
November 28 - Money Management Executive
THE INABILITY TO INNOVATE AND THE DIRECT impact of that on their firm's profitability are fund executives' biggest regulatory concerns.
November 28 -
With new cost-basis reporting requirements in effect for the 2011 tax year, Charles Schwab is warning investment advisors to brace for a hectic tax season and prepare for a flood of questions from clients who for the first time will receive a revised 1099-B form packed with new transaction information.
November 23 -
The Financial Services Authority has for the first time ever barred a compliance officer from working in the financial services industry.
November 23

