-
By Joyce Hanson, AdvisorOne |
April 24, 2013
The IBD First Allied Securities has hired Richard Whitworth of TDAI's practice management unit to be managing director of its Business Consulting Group.
-
By Melanie Waddell, AdvisorOne |
April 17, 2013
Despite increased costs of maintaining the exams, NASAA says the exam fees have not increased for the past four years.
-
By Melanie Waddell, AdvisorOne |
February 5, 2013
After being deluged with comments against its plan to end a 5% threshold on commissions and markups, FINRA is giving broker-dealers yet another chance to weigh in.
-
By Melanie Waddell, AdvisorOne |
December 10, 2012
FINRA’s board announced Friday that it would seek comment on its controversial plan to require brokers to disclose their compensation packages to clients.
-
By Melanie Waddell, AdvisorOne |
November 29, 2012
December Board meeting will consider several rule proposals and amendments, chief among them a proposal that would require broker-dealers to disclose compensation packages to customers.
-
By Danielle Andrus, AdvisorOne |
May 7, 2012
Jon Henschen, president of Henschen & Associates, a broker-dealer recruiting firm, likens the torrent of regulatory changes the industry has seen recently to “having a cut on your finger, and they’re cutting your arm off to repair it.”
-
By Editorial Staff |
April 24, 2012
Some people ride a wave and some people, like the honorees of the 10th annual IA 25, create a wave.
-
By Editorial Staff |
April 24, 2012
Throughout the rest of April and May, we’ll be publishing extended versions of each profile, including exclusive interviews, on AdvisorOne.
-
By John Sullivan, AdvisorOne |
March 22, 2012
“It’s part of a trend of large insurance companies parting ways with their broker-dealers,” a research director with FA Insight said.
-
By Melanie Waddell, AdvisorOne |
March 2, 2012
Proposed changes include not only unifying BrokerCheck and the SEC’s IAPD system, but also divulging broker/advisor test scores.