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The U.S. Chamber of Commerce, SIFMA, FSI and other groups are asking a Texas court to vacate the Labor Department's new regulations less than a year before the rule goes into effect.
June 2 -
The fiduciary rule flips wealth management on its head, especially in the bank channel. Smaller books will be just one response at Cetera.
June 1 -
“The SEC is notorious for blowing through rule-making deadlines—both congressionally mandated and self-imposed, such as this,” says Micah Hauptman, financial services counsel at the Consumer Federation of America.
May 20 -
“The election could be disruptive to this rule,” Brian Hamburger predicted.
May 19 -
How have other countries that introduced fiduciary standards before the U.S. fared? Toronto-based adviser Trevor Parry gives the long view.
May 3Trevor Parry Consulting -
Analysis: Arguably the greatest adjustment pressure will be on annuity companies and broker-dealer and insurance firms that will not likely qualify for the level-fee fiduciary exception.
May 2 -
The trio expressed confidence in their ability to weather the impact of the rule on their wealth businesses during recent earnings calls.
May 2 -
The traditional grid that delivered handsome payouts for advisers will likely go away for all but the top performers.
April 29 -
If advisers fall short, “required disclosures will provide a roadmap to the plaintiff’s attorney to pursue."
April 28 -
The clock is ticking for the onset of an incredibly far-reaching new fiduciary rule. Here’s who it helps — and hurts.
April 28