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Financial Advisor
January 2012
Bruce W. Fraser
Full Steam Ahead What could have been a sad chapter for Securities America now seems to be a new lease on life for the firm. mark for My Articles similar articles
Investment Advisor
May 1, 2011
Janet Levaux
Securities America Denies Charges of Departing Reps Anonymous sources insist advisors are leaving or planning to leave the firm mark for My Articles similar articles
Registered Rep.
August 17, 2011
Ladenburg Thalmann to Buy Securities America Ladenburg Thalmann Financial Services Inc. has agreed to buy Securities America Financial Corp., the troubled independent broker/dealer, from Ameriprise Financial Inc. for at least $150 million in cash. mark for My Articles similar articles
Investment Advisor
June 2009
James J. Green
Best of Times, Worst of Times Securities America and Capital Analysts have responded to the financial crisis in quite different ways. But they're also quite similar in how they're proactively changing their business models to help reps and the home office thrive mark for My Articles similar articles
Financial Planning
October 1, 2012
Scott Wenger
Looking to the Future: Securities America Wants to be a Leader in Retirement Income Distribution The author has a question and answer session with Securities America CEO Jim Nagengast mark for My Articles similar articles
Financial Planning
August 1, 2008
Andrew Ackerman
In First, Mass. Sues UBS In the first state-level lawsuit against an investment firm over auction-rate securities, Massachusetts has filed securities fraud charges against UBS for selling retail investors auction-rate paper as "liquid, safe, money-market" instruments even though the defendants knew it was not. mark for My Articles similar articles
Financial Planning
August 1, 2011
Donna Mitchell
Ready to Commit Omaha, Neb.-based Securities America is one of Ameriprise's five broker-dealer subsidiaries. That Ameriprise, based in Minneapolis, announced its intention in March to sell the independent broker-dealer without a buyer lined up is also unusual. mark for My Articles similar articles
Registered Rep.
September 3, 2008
John Churchill
Brokers Charged In Fraudulently Selling $1bn Of ARS To Retail Clients In the first case of its kind, the SEC announced today that it has charged two individual financial advisors with fraud related to the sale of more than $1 billion in auction-rate securities. mark for My Articles similar articles
Financial Planning
June 1, 2010
Paul Menchaca
Survivor Island Firms that endured the worst of the financial crisis and lived to tell about it. mark for My Articles similar articles
Registered Rep.
November 7, 2011
Diana Britton
Ladenburg Thalmann's Acquisition of Securities America a Done Deal Ladenburg Thalmann has closed the deal to acquire independent broker/dealer Securities America from Ameriprise Financial. mark for My Articles similar articles
Registered Rep.
June 23, 2011
Diana Britton
Ladenburg Thalmann Possible Buyer in Securities America Sale Ladenburg Thalmann, parent company of Triad Advisors and Investacorp, has emerged as a potential buyer of Securities America, which Ameriprise Financial announced plans to sell in late April. mark for My Articles similar articles
Investment Advisor
September 2008
Melanie Waddell
Whither the Independent B/D? Securities America's acquisition of Brecek & Young is yet another sign of dwindling independent broker/dealers. mark for My Articles similar articles
Financial Planning
June 1, 2009
Paul Menchaca
Oh, the Drama The broker-dealers who spoke to Financial Planning in this year's annual survey are busy negotiating the downturn by improving their infrastructure, expanding through recruitment and eyeing an economic rebound. mark for My Articles similar articles
Financial Advisor
August 2012
Karen DeMasters
The Great Migration Though they aren't moving as fast as they were a few years ago, advisors are still in play for independent broker-dealers. mark for My Articles similar articles
Financial Planning
May 1, 2012
Jennifer Woods Burke
Gotcha! Audits Get Tougher This year, the SEC and FINRA launched a webinar for firms detailing their expectations and reaffirming that whether a firm is large or small, regulators expect the same level of diligence when it comes to audits. mark for My Articles similar articles
Financial Advisor
June 2006
Tracey Longo
Is Any Stone Unturned? Is the NASD's regulatory clampdown over? Major changes are in place at the sales force level. mark for My Articles similar articles
Financial Planning
June 1, 2012
Ann Marsh
Go Big or Go Home There's a stark choice facing many players in the rapidly consolidating independent B-D game for the foreseeable future: Grow like crazy or call it quits. mark for My Articles similar articles
On Wall Street
October 1, 2013
Five Questions with A. Heath Abshure A. Heath Abshure, the outgoing president of the North American Securities Administrators Association discusses his tenure. mark for My Articles similar articles
Registered Rep.
April 25, 2011
Diana Britton
Ameriprise to Shed Securities America Amid Pending Settlement The company plans to sell its independent broker/dealer unit Securities America, while the firm is still in the process of finalizing a settlement with investors claiming SAI sold allegedly fraudulent private placement. mark for My Articles similar articles
Registered Rep.
November 29, 2011
Diana Britton
FINRA Strikes Again: Eight B/Ds Busted for Sale of Private Placements The Financial Industry Regulatory Authority continues its crackdown on the sale of troubled private placements, filing sanctions against eight firms and 10 individuals Tuesday and ordering them to pay restitution to investors. mark for My Articles similar articles
Registered Rep.
August 12, 2011
Diana Britton
$420 Million Team Leaves Securities America for LPL, As Do Others Some advisors have jumped ship from independent broker/dealer Securities America for LPL Financial following news that parent Ameriprise Financial would sell SAI. mark for My Articles similar articles
Financial Advisor
January 2004
Jay Gould
Washed Up On The Banks Of Denial The SEC has changed its policies regarding anti-fraud consent injunctions. How should investment advisors react? mark for My Articles similar articles
Registered Rep.
January 1, 2006
Comings & Goings James Hays has joined Wachovia Securities... Giovanni Prezioso, general counsel of the Securities and Exchange Commission since 2002, will leave the commission... etc. mark for My Articles similar articles
Financial Advisor
March 2012
Mike Byrnes
Massachusetts Addresses Social Media Regulation Results from a July 2011 survey by the Massachusetts Securities Division found a significant growth trend in advisors using social media, but also found compliance deficiencies in existing social media regulations. 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
Financial Planning
June 1, 2005
Juliette Fairley
FP50: Angst Over Compliance As financial advisory firms struggle to manage a raft of new regulations, they are banding together to rein in the rule-makers. mark for My Articles similar articles
Registered Rep.
April 28, 2011
Diana Britton
Securities America Likely To Sell At Discount Ameriprise needs to find a buyer for Securities America in a hurry. Many advisors, including large producers, are likely to leave the firm, especially between now and the time a buyer emerges, sources told Registered Rep. mark for My Articles similar articles
Registered Rep.
October 1, 2006
John Churchill
Blotter In the Name of Love: An Ameriprise registered rep was accused of stealing money from clients to pay for travel abroad to look for a Russian bride... NASD Busts Slick Broker... mark for My Articles similar articles
Financial Advisor
March 2012
Eric Rasmussen
Swimming In Shallow Water Broker-dealers face a stagnant rep pool, shrinking margins and the choke hold of regulators. But it's been a boon to the biggest consolidators. mark for My Articles similar articles
Registered Rep.
March 17, 2011
Diana Britton
Securities America Faces Settlement Hearing Friday; Legal Liabilities Up in the Air Securities America will face a federal court judge to decide whether the independent broker/dealer gets preliminary approval for a $21 million settlement agreement related to private placements sold by the company. mark for My Articles similar articles
Financial Planning
June 1, 2008
Donald Jay Korn
All Systems Go Clients and income hold steady in the financial services industry. mark for My Articles similar articles
Financial Planning
June 1, 2005
Black & Liptow
FP50: The Rising Tide Among the 50 largest independent financial advisory firms--this year's FP50--revenues and assets under management were up, and losses were down. The leaders are holding their top slots, while many newbies are growing at a dramatic clip. mark for My Articles similar articles
Financial Planning
July 1, 2011
Donna Mitchell
Hot Topics FINRA steps in... $80 million settlement of two class-action suits by Securities America... Whistleblower payday... mark for My Articles similar articles
On Wall Street
July 1, 2009
Mark Astarita
The SEC's "Feel Good" Committee The Securities and Exchange Commission announces the formation of an Investor Advisory Committee, which it says will give investors a greater voice in its work. mark for My Articles similar articles
On Wall Street
July 1, 2010
Alan J. Foxman
Dueling Investigators Advisor Q&A: Why must agencies duplicate investigatory efforts?... Should I worry about reps picking up bad habits from old firms?... mark for My Articles similar articles
Registered Rep.
July 8, 2011
Jodie Papike
What To Do When You Smell a Storm Coming At Your B/d New technology and today's 24-hour media cycle have put advisors in a much better position to sniff out trouble at their broker/dealer. mark for My Articles similar articles
Financial Advisor
September 2011
Evan Simonoff
Lessons For Everyone The saga of the last few months provides lessons for all financial advisors wrestling with the problem of finding ways to generate retirement income in a world of near-zero interest rates. mark for My Articles similar articles
Financial Planning
June 1, 2010
Paul Menchaca
Tale of a Tough Year What the numbers show: a dramatic seven-month stock market rally was not enough to help most of the top 50 broker-dealers counter the aftershocks of the financial crisis. mark for My Articles similar articles
The Motley Fool
December 26, 2006
Dan Caplinger
The SEC's Gift to You Securities regulation helps guard investors against fraud. mark for My Articles similar articles
Registered Rep.
November 1, 2005
Christopher O'Leary
A Crusade Against Indies? Regardless of whether going independent means a more regulatory scrutiny or not, advisors thinking of going out on their own need to understand just how much work such a move will entail in terms of keeping up with the ever-changing world of regulations. mark for My Articles similar articles
Financial Advisor
June 2005
Raymond Fazzi
Regulatory Challenges Top Broker-Dealer Agenda Rarely has the potential of the financial advisory business, with a huge demographic wave of baby boomers approaching retirement, looked brighter. But never has the regulatory climate been more challenging. 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
Financial Advisor
June 2009
Jeff Schlegel
Money In Motion The economic crisis has wreaked havoc on wirehouses, and more advisors are looking for new opportunities. mark for My Articles similar articles
Financial Advisor
September 2008
Frontline News News of interest to the financial services industry: M&A Talks Hit Many Roadblocks... Ameriprise Buys H&R Block's Advisor Business... Morningstar Buys Developer Of dbCAMS+... Securities America To Buy Brecek & Young... etc. mark for My Articles similar articles
Registered Rep.
September 14, 2006
Halah Touryalai
NASD Fines Securities America for Failure to Supervise Securities America was fined $2.5 million for failing to supervise an advisor who allegedly lured clients into early retirement with exaggerated promises of high returns. mark for My Articles similar articles
Financial Advisor
March 2011
Jeff Schlegel
Is Uniformity Possible? Broker-dealers expect some changes if a new fiduciary standard is adopted. mark for My Articles similar articles
Registered Rep.
July 28, 2011
Diana Britton
Ameriprise: Rep Productivity at New High; Securities America Sale in `Near Future' Advisor productivity reached a new high for Ameriprise Financial. mark for My Articles similar articles
Bank Systems & Technology
July 5, 2004
Ivan Schneider
SEC to Banks: Selling Securities? Get a License Industry convergence slowed by multiple regulators and accounting system limitations. mark for My Articles similar articles
Investment Advisor
July 1, 2011
John Sullivan
Raising the Bar Top reps with Financial Network Investment Corporation are mad as hell about the state of the BD industry -- and they're not going to take it anymore. mark for My Articles similar articles
Investment Advisor
March 2007
Melanie Waddell
States' Rights The North American Securities Administrators Association's agenda includes preserving state regulators' authority. mark for My Articles similar articles