Regulatory & Compliance

Regulatory & Compliance (359)

Regulator Calls for Bond Market Reform

Securities and Exchange Commission Chair Mary Jo White is proposing a host of reforms for the bond market, including requiring electronic dealer networks to publicly display their best prices for bonds. So reports Reuters.

Read more...

House Trims Obama SEC Budget Request

The House Appropriations Committee has approved a Bill that would give the Securities and Exchange Commission a $1.4 billion allocation for fiscal year 2015. So reports ThinkAdvisor.

Read more...

SEC Identifies Recent Areas of Focus

The Securities and Exchange Commission’s asset management division and broker-dealer task force have been focused on firm’s compliance programs, investment advisory fraud, and advisors’ fulfillment of their fiduciary duties. So reports ThinkAdvisor.

Read more...

DOL's Fiduciary Rule May Take a Year or Two More

The Department of Labor’s fiduciary rule, which is expected to be proposed in January, may not be finalized until 2016 or later. So reports Benefitspro.

Read more...

SEC Unveils Plans for High Frequency Trading Oversight

The Securities and Exchange Commission has disclosed its plans to increase oversight of high frequency trading and secretary trading programs called dark pools. So reports Bloomberg.

Read more...

Regulators to Scrutinize ‘Fee Only’ Advisors

The Certified Financial Planners Board of Standards will be conducting a random sampling of financial advisors who market themselves as “fee only”—that is, impartial in their recommendations—to make sure they’re not selling products or services on commission. So reports Reuters.

Read more...

Beware: Regulators Targeting Firms Lacking Sufficient Client Cybersecurity

Regulators are making clients’ cybersecurity a top priority. So reports Investment Advisor.

Read more...

Regulators May Be Allowed to Increase Surveillance By Summer

A rule that would increase the amount of trading data that brokerages release to the Financial Industry Regulatory Authority to allow for greater surveillance may be ready this summer. So reports Reuters.

Read more...

SEC to Keep at Fiduciary Rule

Steve Luparello, director of the Securities and Exchange Commission’s Division of Trading and Markets, says the regulator will continue working on a proposal to impose a fiduciary standard on brokers until the matter is resolved. So reports ThinkAdvisor.

Read more...

DoL Slows Pace of Developing Fiduciary Definition

The Department of Labor’s rule-making process that involves defining "fiduciary" has been delayed to allow more input from the public on the matter. So reports Bloomberg.

Read more...

Visit other PMG Sites:

PMG360 is committed to protecting the privacy of the personal data we collect from our subscribers/agents/customers/exhibitors and sponsors. On May 25th, the European's GDPR policy will be enforced. Nothing is changing about your current settings or how your information is processed, however, we have made a few changes. We have updated our Privacy Policy and Cookie Policy to make it easier for you to understand what information we collect, how and why we collect it.