Morning Memo
 
Wealth Management Morning Memo

OCTOBER 13, 2022

REGULATION AND COMPLIANCE

FINRA Suspends Rep In First Reg BI-Related Action

Charles Malico, a former broker with Network 1 Financial Securities, will also pay a $5,000 fine. The disciplinary action follows the SEC’s first violation notice issued earlier this year citing the new standard.  

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HIGH NET WORTH

Andy Warhol Foundation Lawsuit Hits the Supreme Court

Arguments begin this week in the high-profile case centered on photos of Prince.

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WHITE PAPER

"Use" Tax Tips for Large Overseas Purchases

Overseas purchases can get you in hot water with tax authorities.

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PHILANTHROPY

Don’t Hesitate to Bring Up Charitable Giving in This Market

Many clients still have profits in need of planning attention before Dec. 31.

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REAL ESTATE

How One Hedge Fund Manager is Navigating REIT Volatility

Harbor Group International’s David Rosenberg sees an investment opportunity thanks to a disconnect that’s developed between REIT equity prices and underlying net asset values.

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SPONSORED WEBINAR

Defining and Resolving the Industry’s Data Challenge

This webinar on October 20th will cover what you should expect from your tech provider and how to implement a proactive data strategy based on security, integrity, quality, and automation

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