Broker-Dealers

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Morningstar Says DOL Rule Will Save Investors $87B Over Next 10 Years

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Investors in small retirement plans and annuity rollovers will reap the greatest cost savings, researchers found.

Finra Bars Northwestern Rep For Allegedly Processing Policies Without Clients' Consent

by FA Staff

Multiple clients of Michael Gerard Gravelyn said they had not signed policy applications.

$830M Team From Janney Joins LPL Independent Platform In Conn.

by FA Staff

Thimble Island Private Wealth is affiliated with LPL's Strategic Wealth Services.

SoFi Settles With Finra In $1.1M Penalty Over Thieves' Use Of Accounts

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Thieves used the B-D's cash management accounts to transfer millions from outside institutions.

Former First Republic Advisors Battle JPMorgan To Keep $90M In Loans

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The advisors contend they were victimized by the failed bank.

Will The Lawsuit Against The DOL Fiduciary Rule Prevail?

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Three experts weigh in on the motion for an injunction against the new rule and hopes to vacate it.

Raymond James Adds Okla. Husband-Wife Advisor Duo With $200M

by FA Staff

Mike and Shaley Sikes have come over from Edward Jones.

LPL Adds Ex-UBS Advisor With $275M To Independent Platform

by FA Staff

Matthew Sheffield has launched Burlwood Wealth through an affiliation with LPL's Strategic Wealth Services.

Advisor Sues Merrill Lynch Over Alleged ERISA Violations

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The lawsuit maintains the firm broke the law when it denied the advisor his deferred compensation when he resigned.

Rockefeller Lands $1B Morgan Stanley Team in Charlotte, N.C.

by FA Staff

Landau Wealth Partners is led by longtime Morgan Stanley advisors Adam Landau and Ramy Georgy.

Insurance Industry Group Files First Lawsuit Against DOL Fiduciary Rule

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Other industry opponents to the new fiduciary requirements have hinted they will mount their own legal challenges.

Washington Trust Got $2.1M In Settlement With Four Advisors, Execs Reveal

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The trust company accused the advisors of departing and subsequently stealing its clients.

Cetera Releases Active ETF Lineup

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The competition for ETF research platforms catering to RIAs is heating up.

Md. Advisor Who Faked Suicide Gets 3.5 Years For Bilking Elderly Client

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Eddy Blizzard stole $1.4 million from the late client, causing him to lose his house.

N.H. Advisor Ordered To Pay Nearly $6M Penalty For High-Risk Investments

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Thomas Chadwick sold mom-and-pop investors highly leveraged notes that became worthless during the pandemic, state regulators said.

Broker Sues Vantage Capital Alleging Discrimination Over Cancer

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She alleges the firm coerced her into quitting her job after her illness.

NYC Advisor Gets More Than Six Years For $6M Ponzi Scheme

by FA Staff

Some of Surage Perera's victims lost their life savings or had to delay their retirements, prosecutors said.

MassMutual, Advisor Wage Court Battle Over Finra's Arbitration Jurisdiction

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A federal court is being asked to decide who should arbitrate the company's non-compete complaint against the former rep.

LPL Adds Ex-Cambridge Duo With $200M In Assets

by FA Staff

Timothy Heisterkamp and Max Neese operate Journey Financial in Jefferson, Iowa.

Ex-Advisor Indicted On Multimillion-Dollar Fraud Scheme

by FA Staff

Craig Allen of Atlanta used his hedge fund to scam investors of more than $7 million, prosecutors said.

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