News

News

SEC’s Dear CFO Letter Posted

Investment Management Division’s Views on Accounting Related Issues By John M. Baker, Esq. The accounting staff of the SEC‘s Division of Investment Management on Friday posted its annual “Dear CFO” industry comment letter (Feb. 14, 2001). The comment letter addresses several accounting-related matters in filings made by registered investment companies […]

Investors News

New Consumer Protection Regulations Adopted

Sales Practices, solicitations, advertising regulations adopted By John M. Baker, Esq. The Office of the Comptroller of the Currency has posted the final version of consumer-protection regulations adopted by the OCC, FDIC, OTS, and Federal Reserve under the Gramm-Leach-Bliley Act. The regulations apply to retail sales practices, solicitations, advertising, and […]

Analysis Corp Finance

Variable Annuities Under Scrunity

SEC Notes Explosive Growth and Fee Issues, Shareholders Sue Over Fees By John M. Baker, Esq. Variable annuities typically do not get a great deal of attention from the SEC’s upper levels, but they were the subject of a speech by Investment Management Director Paul Roye before the National Association […]

News

Global Billion Dollar Settlement

“These cases reflect a sad chapter in the history of American business — a chapter in which those who reaped enormous benefits from the trust of investors profoundly betrayed that trust. These cases also represent an important new chapter in our ongoing efforts to restore investors’ faith in the fairness […]

Analysis News

Hire Standards

Regulators Call For Increased Scrutiny of Brokers with Disclosures By Mark J. Astarita, Esq.   WHETHER JUSTIFIED OR NOT, the hiring and continued employment of brokers with disclosable events on their Central Registration Depository (CRD) reports is an increasing concern. Just last year, a report issued by regulators recommended stringent […]