Regulation And Legislation

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NEWS REGULATION AND LEGISLATION MAR 19, 2007
Compatibility of pension funds, hedge funds questioned at hearing

WASHINGTON — The possibility of limiting pension fund involvement in hedge funds was raised last week by legislators and hedge fund industry representatives at a hearing on Capitol Hill on how much risk hedge funds pose for financial markets.

By Bloomberg
NEWS REGULATION AND LEGISLATION MAR 19, 2007
Opponents of SRO merger are keeping the faith

Opponents of a merger between the regulatory operations of NASD and the New York Stock Exchange haven’t given up on their efforts to stop the deal.

By Bloomberg
NEWS REGULATION AND LEGISLATION MAR 12, 2007
Galvin leads charge against senior fraud

State regulators, led by Massachusetts’ William F. Galvin, are stepping up their attacks on financial scam artists who prey on senior citizens.

By Bloomberg
NEWS REGULATION AND LEGISLATION MAR 12, 2007
NASD wants to supplant OSJ category

Industry observers are worried about the potential effect of an NASD proposal to eliminate the definition of “office of supervisory jurisdiction” and in its place create four new branch-office categories.

By Bloomberg
NEWS REGULATION AND LEGISLATION MAR 09, 2007
SEC releases order routing report

Payment for order flow and internalization of retail options orders to affiliated dealers by brokerage firms has become more pervasive, the Securities and Exchange Commission found in a study

By Bloomberg
NEWS REGULATION AND LEGISLATION MAR 06, 2007
Latest ethical lapse 'troubles' CFA Institute

The CFA Institute responded with "concern and disappointment" to the mega-insider trading case that was brought to light last week.

By Bloomberg
NEWS REGULATION AND LEGISLATION MAR 05, 2007
U-5 defamation issue comes to a head in N.Y.

Industry lawyers are watching closely how New York’s highest court will settle a long - simmering battle over how much legal protection brokerage firms should have for statements made on so-called U-5 termination forms.

By Bloomberg
NEWS REGULATION AND LEGISLATION MAR 05, 2007
Bill to end federal antitrust immunity worries insurers

WASHINGTON — The life insurance industry is concerned that a bill which would eliminate federal antitrust immunity for insurance could lead to unfavorable attention from the Federal Trade Commission.

By Bloomberg
NEWS REGULATION AND LEGISLATION FEB 26, 2007
A hidden perk: Antitrust filing fee reimbursement

NEW YORK — In light of new regulations requiring greater disclosure on executive pay, directors are scrambling to justify every nickel spent on perks for the top ranks.

By Bloomberg
NEWS REGULATION AND LEGISLATION FEB 19, 2007
Hedge fund industry looks to court regulators, critics, media

The $1.2 trillion hedge fund industry, bracing for its second regulatory battle with the Securities and Exchange Commission in as many years, plans to take a more proactive approach to dealing with regulators, critics and the media.

By Bloomberg
NEWS LIFE INSURANCE AND ANNUITIES FEB 12, 2007
VA industry unveiling electronic processing

A trade group for the variable annuity industry today announced a technology initiative intended to save time and money for VA distributors through streamlining and standardization.

By Bloomberg
NEWS MUTUAL FUNDS FEB 12, 2007
For fund investors, it pays to read the fine print

BOSTON — Just because the Enron Corp. and market-timing scandals have led to greater disclosure requirements doesn’t mean that some mutual fund companies aren’t still burying some doozies in their regulatory filings, according to Russel Kinnel, director of mutual fund research for Morningstar Inc.

By Bloomberg
NEWS REGULATION AND LEGISLATION FEB 12, 2007
Cost basis reporting not as simple as it appears

WASHINGTON — Be careful what you wish for with regard to cost basis reporting, as it might cause a headache of colossal proportions.

By Bloomberg
NEWS REGULATION AND LEGISLATION FEB 12, 2007
SEC backing off on B share cases?

Regulators are backing off their aggressive pursuit of B share cases. In the clearest indication yet that enforcers have changed their tune, the SEC late last month dropped a prominent B share case against former Prudential Securities Inc. broker Robert Ostrowski.

By Bloomberg
NEWS LIFE INSURANCE AND ANNUITIES FEB 05, 2007
Lawmaker changes horses on income stream comments

A congressman who raised eyebrows last month when he seemed to imply that annuities are the answer to the need for lifetime retirement income claims he was misunderstood.

By Bloomberg
NEWS REGULATION AND LEGISLATION FEB 05, 2007
Calif. court: State can sue American Funds

A California court ruling late last month may make it easier for states to sue financial firms, according to legal experts.

By Bloomberg
NEWS REGULATION AND LEGISLATION FEB 05, 2007
NASAA: Reform arbitration or add court option

The securities arbitration system should be reformed or else investors should be given the option of taking their disputes to court, according to a group that represents state securities regulators.

By Bloomberg
NEWS REGULATION AND LEGISLATION FEB 05, 2007
Canada’s reg reform project is on tap

OTTAWA — After much consultation, the Canadian Securities Administrators’ Regulation Reform Project is about to surface, though exactly when isn’t clear.

By Bloomberg
NEWS REGULATION AND LEGISLATION FEB 05, 2007
New report boosts idea of federal regulation of insurers

WASHINGTON — Proponents of allowing insurers to be federally regulated are taking heart in the inclusion of that proposal in a report recently issued by New York Mayor Michael Bloomberg and Sen. Charles Schumer, D-N.Y.

By Bloomberg
NEWS REGULATION AND LEGISLATION FEB 02, 2007
DOL clarifies investment advice exemptions

The Department of Labor's Employee Benefits Security Administration released its first Field Assistance Bulletin of the year, which provides guidance to field investigators regarding an exemption for investment advice in the Pension Protection Act.

By Bloomberg