Wealth Management
 
WealthManagment.com Daily Memo
Wealth Management Daily Memo

MARCH 10, 2025

REGULATION & COMPLIANCE

FINRA Books More Disciplinary Actions, But Fine Total Drops

Law firm Eversheds Sutherland found FINRA’s 2024 top enforcement issues were for inaccurately reporting trades, manipulating markets through spoofing and errors in options trading.

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RIA NEWS

Carson Group Hires Former Envestnet Executive as CTO

Ramesh Vaswani will take over as Carson Group CTO, which has been run by a technology council for the past year and a half.

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WEBINAR
Exploring Grants to Individuals: Clearing Up Misconceptions and Compliance Considerations For Foundations
Join Foundation Source's Chief Legal Officer and Deputy Legal Officer who will clear up some common misconceptions and share the special considerations when making grants to individuals.
Register Now >
GROWTH STRATEGIES

Breaking Away: One Year Later

About a year and a half ago, Trent Leyda and his team broke away from Morgan Stanley to create SpirePoint Private Client, with Goldman Sachs as its primary custodian. Here’s how it’s going.

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COMMENTARY

What RIAs Can Learn from Ellevest’s Decision to Sell Its Robo Advisor

Follow its lead and rethink the “more AUM is better” mindset.

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