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Hugh Kennedy

Hugh has 35 years of expertise in the financial services industry, with publishing and legal research experience spanning the public company, investment adviser, broker-dealer, credit union and banking industries. As a senior-level manager, award-winning writer and conference speaker, he has covered key issues stemming from the Securities and Exchange Commission, Commodity Futures Trading Commission, Department of Labor, Public Company Accounting Oversight Board, NCUA, banking agencies, Capitol Hill, NASAA and other regulators. He has developed and created a number of new publications, online databases and value-added portals serving the needs of financial industry professionals.
FINRA wants to hear from the industry on its current rules governing outside business activities and private securities transactions. The effort is part of the ...
Investment advisers that were trading commercial mortgage-backed securities on behalf of their clients were among those allegedly defrauded by two former head traders who ran ...
If you see something, say something. That’s the message from Cam Funkhouser, executive VP of FINRA’s Office of Fraud Detection and Market Intelligence, who would ...
NASAA’s model fee disclosure schedule is gaining wider acceptance among brokerage firms. The association announced May 9 that nine additional securities firms have agreed to ...
Former Sullivan & Cromwell Partner Jay Clayton was sworn in May 4 as chairman of the SEC, two days after the Senate confirmed him for the role. ...
The SEC and FINRA will once again combine forces to bring a national compliance outreach program to broker-dealers. Registration, which is limited to the first ...
The return on investment for social media appears to be on the rise—at least for financial professionals. American Century Investments’ seventh annual Financial Professionals Social ...
FINRA has simultaneously released three regulatory notices related to broker-dealers’ participation in the capital formation process. The SRO is seeking comment by May 30 on ...
As many predicted, another state has jumped in with proposed new cybersecurity requirements for investment advisers and broker-dealers. Late last month, Colorado followed New York’s ...
For some industry heavy hitters, the 60-day delay of the DOL’s fiduciary duty rule implementation is simply not enough (IA Watch, April 5, 2017). The ...
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