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The New York Department of Financial Services' letter indicating potential cyber rules are prompting concerns that the state's plans could lead to more stringent measures throughout the industry.
November 19 -
BlackRock is winding down a global macro hedge fund after losses and investor redemptions eroded assets.
November 19 -
Franklin Resources, which has more than $800 billion under management, hired Patrick OConnor from BlackRock to head global ETFs.
November 18 -
The Cybersecurity Information Sharing Act, which has advanced far on Capitol Hill, promises to help businesses and government thwart cybercriminal attacks. But privacy advocates say the bill would make misuse of consumer data even easier.
November 18 -
Advisors using digital advice tools must implement compliance best practices to help mitigate areas of risk that technology like a double-edged sword can both cause and combat.
November 16
BasisCode Compliance -
Though a majority of firms agree investments in technology are necessary to remain competitive, just over a quarter are actually making that investment.
November 16 -
The hefty penalty is one result of an SEC investigation into performance claims of the AlphaSector ETF-linked strategy.
November 16 -
Wyatt takes the job after heading OCIE on an interim basis as the commission struggles with advisor exam cycle.
November 13 -
Officials should ask "whether these new robo advisors can be neatly placed within our existing laws," SEC commissioner says.
November 13 -
State alleges Realty Capital Securities employees impersonated shareholders to game proxy votes and advance management agenda.
November 12 -
The agency is using data analytics to scrutinize broker-dealers and advisors who are recommending an increasingly complex array of products.
November 12 -
Attorney Alan Foxman answers readers most pressing regulatory and compliance questions, including from one advisor who ran into troubles after being given authorization by a client to make trades on their behalf.
November 10 -
A record turnout and reinvigorated market goals contributed to the upbeat celebrations highlighting the fund industry's best in service, leadership and innovation honorees at the 2015 NICSA/NOVA Awards.
November 10 -
United Capital anticipates adding $1.5 billion in assets in buying Select Financial Group and PSA Insurance & Financial Services.
November 9 -
The restriction prevents clients from selling at a loss and buying back the same asset within 30 days. But there are strategies advisors can employ to use the rule to their clients advantage.
November 9 -
Already gaining in popularity among advisors, low-cost annuities could receive a further boost if the Department of Labor's fiduciary proposal goes into effect.
November 4 -
Just as robos seek to bring lower-income, self-directed investors into the advisory realm, the administration is looking to extend the retirement safety net through no-fee, no-risk savings plan.
November 4 -
Advisors gasped when they heard that the proposal requires firms to have a website revealing information previously considered confidential.
November 4 -
Federal regulatory council indicates that it is working toward a comprehensive review of the asset management industry as the SEC pushes separate rulemakings.
November 3 -
The fiduciary rule would significantly change how advisors are compensated and is part of a global trend to increase investor protection, researchers say.
November 2






