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Registered Rep.
March 1, 2008
Plain English: The Cost of Compliance The SEC voted in February to propose changes to the structure of the Form ADV, the disclosure document that all investment advisors must complete. mark for My Articles similar articles
Financial Planning
May 1, 2008
Rick Cortese
New Form ADV 2 On March 3, 2008, the SEC proposed amendments to Form ADV Part 2. mark for My Articles similar articles
Investment Advisor
November 17, 2010
Danielle Andrus
Form ADV Changes Have Advisors Worried Newly created guides can allay confusion mark for My Articles similar articles
Financial Planning
February 1, 2008
Jeanne Lee
Regulatory Roundup With regulatory agencies under political pressure to take a tougher stance on investor protections, financial advisors need to stay abreast of a number of proposed rule changes that could come online in 2008. mark for My Articles similar articles
Investment Advisor
March 1, 2011
Thomas D. Giachetti
Get Form ADV Right New requirements and changing deadlines could make filing Form ADV a tricky business. mark for My Articles similar articles
Financial Advisor
January 2011
Joel P. Bruckenstein
ADV Help This new Web-based platform helps RIAs easily update their regulatory reports. This form is the primary disclosure document that SEC-registered investment advisors are required to provide to clients. mark for My Articles similar articles
Registered Rep.
May 9, 2011
Gleeson & Britton
New SEC Disclosure Rules Dismay Some Advisors; Advisor Disciplinary Histories in Welcome Packets New SEC rules that require federally-registered advisors to disclose their disciplinary histories in brochures and provide them to clients will get under way in earnest by the end of the summer. mark for My Articles similar articles
Investment Advisor
September 2010
Thomas D. Giachetti
The Compliance Coach: Will the SEC Ever Learn? Don't Count On It Get ready for new custody and ADV rules, and the $100 million threshold. mark for My Articles similar articles
Investment Advisor
July 2008
Group Think The CFP Board has filed a comment letter with the SEC welcoming the Commission's proposal to improve the quality of information that investment advisors must provide to clients and prospective clients. mark for My Articles similar articles
Financial Planning
March 1, 2013
Kenneth Corbin
SEC Registration Deadline Looms As annual registration nears, compliance experts warn RIAs to be cautious about their numbers. mark for My Articles similar articles
Investment Advisor
August 2010
Melanie Waddell
Advice to the SEC When it comes to the fiduciary standard, Capital Analysts President and CEO Matt Lynch says advisors "want to be sure the SEC seeks and gathers input from the industry as to how to implement these important changes." mark for My Articles similar articles
The Motley Fool
April 5, 2007
Nathan Parmelee
SEC Says It Again: Speak English! Executive compensation was supposed to be easier to understand for investors, but it's not quite there yet. mark for My Articles similar articles
Financial Planning
October 1, 2006
John E. Gebauer
Your Mailbox Is Full For investment advisors, the regulations for email retention remain murky, but applying some best practices can help. mark for My Articles similar articles
Financial Advisor
October 2010
Frontline News New SEC requirements that financial advisors create a plain-English version of Form ADV Part 2... Fiduciary Standard Lobbying Season... Does Schwab's Purchase Of An RIA Portend A New Trend?... etc. mark for My Articles similar articles
Investment Advisor
June 1, 2011
Thomas D. Giachetti
From Deadlines to Lifelines The SEC extension of registration deadlines provides a potential grace period for stressed out advisors. mark for My Articles similar articles
Investment Advisor
July 2010
Melanie Waddell
A Whirlwind of SEC Activity Harmonization of advisor and B/D rules will move forward. mark for My Articles similar articles
HBS Working Knowledge
October 6, 2014
Christian Camerota
Why Businesses Need a Language Strategy Organizations that effectively marry language strategy with their global talent management process gain a leg up on the competition, says Tsedal Neeley and Robert Steven Kaplan. mark for My Articles similar articles
Financial Planning
October 1, 2010
Brian Hamburger
Regulation Season A look forward at the real effects of regulatory change - and they could be as unattractive as they are expensive. mark for My Articles similar articles
Registered Rep.
April 1, 2005
Ratting on Regulators Don't like the way that SEC investigator treated you while rifling through your files? Well, now you can report him. mark for My Articles similar articles
Registered Rep.
February 1, 2005
John Churchill
A Monster Issue Will the SEC withdraw the Broker-Dealer Exemption, causing reps to back away from adviser status? If so, the impact could cause substantial disruption in the markets. mark for My Articles similar articles
Financial Planning
May 1, 2007
Nancy Lininger
Compliance Tips For financial planners, these tips can help you efficiently balance your compliance obligations to regulators, clients and your operations. mark for My Articles similar articles
Financial Planning
May 1, 2008
Elizabeth O'Brien
Regulatory Tussle Independent broker-dealers and the Securities and Exchange Commission have found themselves in a tug-of-war over how best to serve clients when registered representatives depart one firm for another. mark for My Articles similar articles
Investment Advisor
April 1, 2011
Thomas D. Giachetti
Dodd-Frank: An Overview Of Pending Changes For Investment Advisors Dodd-Frank deadlines are fast approaching. Are you ready? mark for My Articles similar articles
Investment Advisor
February 2009
Melanie Waddell
Mary Schapiro's Priorities Mary Schapiro tells the Senate Banking Committee what her priorities will be at the SEC. mark for My Articles similar articles
The Motley Fool
March 12, 2007
Anders Bylund
SEC Launches Operation Spamalot Operation Spamalot will only work if the SEC keeps up with the spammers, something that even experts on email operations find hard to do. Investors, take note. mark for My Articles similar articles
On Wall Street
February 1, 2013
Kenneth Corbin
Regulatory Forecast Bodes Change Advisors could see talks on oversight and a fiduciary standard move forward this year. mark for My Articles similar articles
Registered Rep.
March 10, 2010
Jerry Gleeson
New RIA Custody Rules In Force Friday New rules aimed at preventing registered investment advisors from pulling off ponzi schemes are now in effect. mark for My Articles similar articles
Registered Rep.
December 16, 2011
Jerry Gleeson
Compliance Outsourcing Gains Favor With RIAs Charles Schwab's RIA Benchmarking Study this year reports that 38 percent of firms were outsourcing their compliance functions, up from 27 percent in 2010. mark for My Articles similar articles
Financial Planning
October 1, 2006
Elizabeth O'Brien
Bookshelf The RIA's Compliance Handbook by Elayne Robertson Demby is a comprehensive guide for registered investment advisors. Readers can earn 20 hours worth of CFP continuing education credits by passing a 35-question exam located in the back of the book. mark for My Articles similar articles
Financial Advisor
July 2006
Mark Goldberg
Seat Belt Or Life Raft? Arbitration can be a traumatizing experience for financial advisors. In most instances, there is a genuine misunderstanding. Are we willing to ask ourselves if we did a good job communicating? mark for My Articles similar articles
The Motley Fool
November 1, 2005
Selective Disclosure, Explained The SEC instituted a "Fair Disclosure" rule that prohibited public companies from alerting analysts and major investors to important changes before disclosing that information to the general public. So what has happened since the rule went into effect? mark for My Articles similar articles
Financial Advisor
May 2011
Daniel Bernstein
The Goldilocks Dilemma The greatest problem with client agreements today is the shortcut approach too many advisors take. mark for My Articles similar articles
Registered Rep.
August 28, 2007
John Churchill
SEC Principal Trade Proposal: A Stalling Tactic? A 2-year "interim rule" would allow large brokerage firms that also have many other business lines to meet their fiduciary obligations to customers while still engaging in principal trading activity -- selling customers products from their own inventory. mark for My Articles similar articles
Registered Rep.
April 7, 2005
Kristen French
NASD Advocates More Disclosure, Less Paper Broker/dealers and their reps may get a big break on point-of-sale disclosure if the Securities and Exchange Commission heeds recent NASD advice. mark for My Articles similar articles
Financial Advisor
April 2004
Tracey Longo
Wanted: Real Disclosure Rules on brokers compensation disclosure are changing---but slowly. mark for My Articles similar articles
Financial Planning
November 1, 2009
Robert Pozen
Think Twice Congress is seriously debating legislation that would significantly expand the coverage of the Investment Advisers Act, empower the SEC to make rules on advisor compensation and increase the likelihood of lawsuits against advisors. mark for My Articles similar articles
The Motley Fool
March 2, 2011
Alyce Lomax
For Shareholders, Secrecy Stinks You can't have good corporate governance without transparency. mark for My Articles similar articles
Investment Advisor
May 1, 2011
Thomas D. Giachetti
You Can't Regulate Crooks Unnecessary regulation annoys the good guys, and doesn't stop the bad guys mark for My Articles similar articles
Investment Advisor
May 2010
David Tittsworth
What a Reinvigorated SEC Will Mean for You The first in a series of occasional commentaries by the executive director of the Investment Adviser Association. mark for My Articles similar articles
Investment Advisor
August 2006
Melanie Waddell
The Playing Field: Will the SEC Appeal? Hedge fund advisor registration has been an extremely contentious issue. Some feel there will be grave consequences for the SEC and the investing public should the House bill requiring registration be shot down. mark for My Articles similar articles
Registered Rep.
November 16, 2012
Jerry Gleeson
Tardy Advisors Get a Reprieve Mid-sized RIAs who are behind on switching their registration from federal to state jurisdictions now have until Dec. 17 to get caught up. mark for My Articles similar articles
Financial Advisor
October 2012
Brian Hamburger
Sleight Of Hand The apparent death knell of Finra as an SRO by no means signals victory. mark for My Articles similar articles
Registered Rep.
February 18, 2004
John Churchill
SEC Puts Forth Mutual Fund Rules Proposals The SEC has put forth three proposals that could drastically change the way mutual funds are sold. mark for My Articles similar articles
Registered Rep.
January 3, 2008
Christina Mucciolo
SEC's RAND Study Released The SEC release the results of the RAND study, which examined how broker/dealers and investment advisors market products and services to investors, and how investors understand the differences between investment advisors and broker/dealers. mark for My Articles similar articles
Investment Advisor
November 2009
Melanie Waddell
SEC Sets Out Strategic Plan The Securities and Exchange Commission publishes its Draft Strategic Plan outlining the Commission's strategic goals for 2010 through 2015. mark for My Articles similar articles
Investment Advisor
July 1, 2011
Thomas D. Giachetti
Are You Prepared for a Regulatory Exam? Learn the steps you need to take to prepare for a regulatory exam. mark for My Articles similar articles
Investment Advisor
June 2009
Thomas D. Giachetti
Expert's Corner: Complacency, Risk and the SEC Often advisors become complacent with respect to compliance, but all RIAs must recognize that compliance is an ongoing process requiring the review/update/amendment of regulatory filings, disclosures, and procedures. mark for My Articles similar articles
Registered Rep.
April 1, 2007
Turf Wars Over Advice The age-old debate between the b/d and investment advisor (RIA) industries over who should be able to provide advice and when, and whose regulatory regime offers better investor protections, is far from over. mark for My Articles similar articles
Financial Advisor
November 2009
Jeff Schlegel
The Great Debate Financial services reform is coming. How will it impact advisors? mark for My Articles similar articles
On Wall Street
May 1, 2013
Bill Willis
How Advisors Can Prepare for Compensation Disclosure Rule New rules to disclose recruitment compensation may be blooming soon. mark for My Articles similar articles