Mature firms are initiating proactive compliance, going out and trying to determine what regulatory changes are coming and how they will impact the business.
Matt Liebman, founding partner and CEO of RIA firm Amplius Wealth Advisors, discusses the complexity of considering change with a multigenerational team, the difficulty of walking away from a big brand name, the concept of clients being the real ...
The proposals would mandate that advisors craft written policies and procedures intended to address cyber risks that could harm clients, according to Chair Gary Gensler.
'The 2022 Report on FINRA’s Examination and Risk Monitoring Program' also looks at firms’ Form CRS compliance and approaches in working with clients via mobile apps.
James Iannazzo’s tirade in a Fairfield, Conn., smoothie shop was captured on video and viewed by millions. The CFP’s suspension comes after Iannazzo was arrested and charged by Fairfield police, and dropped by Merrill Lynch.