About the Author
Melanie Waddell, AdvisorOne
Melanie is the Washington Bureau Chief and Editor of the Practice Channel on AdvisorOne.com.
Early in her career, Melanie covered financial issues at American Banker in Washington. For more than 15 years, Melanie has been covering investment-related issues, entering the advisor universe in a senior level editorial position at American Banker/Thomson Media in both Washington and New York. After seven years at Thomson, now Reuters, Melanie joined the Investment Advisor team.
Melanie has been a columnist for Investment Advisor for nine years, and holds a Bachelor’s degree in English from Towson University.
Reach Melanie at mwaddell@investmentadvisor.com.
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By Melanie Waddell, AdvisorOne |
May 16, 2013
But SEC’s Mary Jo White maintains SEC and DOL are "two different agencies"; says more exam "coverage" is needed for advisors.
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By Melanie Waddell, AdvisorOne |
May 16, 2013
When reminded that this is the seventh year that he’s been named to the IA 25, Dale Brown was quick to give kudos to his entire team, noting that the Financial Services Institute’s success doesn’t hinge on his abilities alone.
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By Melanie Waddell, AdvisorOne |
May 15, 2013
The CFP Board announced Wednesday an initiative to boost the number of women advisors in the field, including CFPs, as the number of female CFPs hasn’t budged for a decade.
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By Melanie Waddell, AdvisorOne |
May 15, 2013
Despite taking a drubbing over her insistence on issuing a rule to amend the definition of fiduciary under ERISA, Phyllis Borzi remains steadfast in her conviction to do so.
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By Melanie Waddell, AdvisorOne |
May 14, 2013
FINRA CEO Ketchum says that the regulator continues to believe current levels of advisor oversight and exams are "unacceptable and a risk to investors."
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By Melanie Waddell, AdvisorOne |
May 13, 2013
The low-interest-rate environment “has an extremely large impact on failure rates” when it comes to meeting retirement goals, EBRI's research director says.
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By Melanie Waddell, AdvisorOne |
May 10, 2013
In a joint alert issued Thursday, the SEC and FINRA provide investors with information about what to do before buying or selling such rights and urge them to proceed with caution.
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By Melanie Waddell, AdvisorOne |
May 9, 2013
State securities regulators are throwing their support behind FINRA in its battle to overturn a decision by its hearing panel that allowed Charles Schwab & Co. to block customer participation in class-action lawsuits.
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By Melanie Waddell, AdvisorOne |
May 9, 2013
Recognizing that Washington doesn’t have all the answers, Sen. Max Baucus and Rep. Dave Camp have debuted TaxReform.gov, where the public can weigh in.
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By Melanie Waddell, AdvisorOne |
May 8, 2013
Three years after passage of the Dodd-Frank Act, the Municipal Securities Rulemaking Board is still waiting for the SEC to issue its rule defining who is a municipal advisor.