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Bruce Kelly

A former middle school and high school English teacher, Bruce Kelly started at InvestmentNews in 2000 as the brokerage reporter after a two-year stint at sister publication Pensions & Investments. He writes a bi-weekly, award winning column, On Advice, and covers the independent broker-dealer industry.

Displaying 3299 results

Topic

New mission for African American advisor trade group

The Association of African American Financial Advisors is a 'sleeping giant trying to awaken,' says chair Christian Nwasike.

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Finra dings Hightower with $353,000 penalty over alt sales

Both GPB private placements and the LJM mutual fund were widely sold by brokerage firms prior to 2018.

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Advisors, be careful what you wish for with interest rates

'When an advisor or client stretches for yield, that’s when they can get hit,' one financial advisor notes.

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Finishing jail term for Ponzi, recidivist fraudster sold another: Feds

'A leopard doesn’t change its spots,' one industry attorney said of Wilson Baston of Brooklyn, New York, who had pleaded guilty in 2008 to deceiving hundreds of investors in a Ponzi scheme.

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Finra sues smoothie-throwing broker for ducking cash reporting rules

James Iannazzo made cash transactions totaling close to $846,000 to avoid detection, the regulator alleges.

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Procyon Partners adds two advisors managing $600 million

Frank McKiernan and Jerry Sneed are joining Procyon, a Dynasty Financial network firm, from Baker Tilly Wealth Management.

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RIA valuations are up but hitting a plateau: Fidelity

Owners of RIAs want higher prices for their firms now than they did between 2017 and 2019, the last time Fidelity did this study.

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Edward Jones quartet in Wisconsin jumps to LPL

The four advisors control $400 million in client assets and their Elkhorn-based firm is called Omnia Wealth Group.

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Memo to young advisors: Know the cost of a client

The opportunities for younger financial advisors to increase the value of their practices couldn't be better.

Topic

SEC bars RIA chief compliance officer previously found guilty of fraud

Jennifer Campbell was office manager and chief compliance officer for a registered investment advisor in Buffalo, New York.