Regulation and compliance
Regulation and compliance
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The U.S. Fifth Circuit Court of Appeals in New Orleans sided with the private funds industry, which argued that the agency overstepped its authority.
June 5 -
The likely more than $1 million award is the latest result from cases arguing that firms' pay policies run afoul of federal retirement law.
June 3 -
Brokerages have until June 26 to decide if they want to take part in a pilot program allowing them to continue inspecting their branch office remotely; plus, the rundown on residential supervisory locations
May 31 -
The more frequently companies report their earnings, the less likely investors are to make knee-jerk investment decisions, according to recent research.
May 30 -
Safety vetting generative AI in your techstack while anticipating regulatory changes can boost advisor productivity while giving firms a competitive edge.
May 30 -
Relationships with vendors can make or break an advisor's business; FINRA officials and industry experts discuss best practices.
May 29 -
There's a new method of counting defined contribution retirement plan participants that can make a big difference for clients.
May 29 -
The Securities and Exchange Commission's overly broad expansion of the Dealer Rule is only the latest example of the agency's yearslong effort to stifle innovation in a vibrant and growing industry.
May 29 -
Firms' aggressive pursuit of repayment of recruiting loans is likely a reflection of how massive some recruiting deals have become in recent years.
May 28 -
Difficulties loom over syncing U.S. stock exchanges with global transaction cycles.
May 28