Wednesday, July 15, 2015

fi360 Fiduciary Talk 2: Conflicts of Interest: What's a Fiduciary Advisor To Do?

fi360 Fiduciary Talk 2: Conflicts of Interest: What's a Fiduciary Advisor To Do?
fi360 CEO Blaine Aikin and Senior Policy Analyst Duane Thompson focus on an interesting issue that faces the SEC when it turns to drafting a fiduciary standard for brokers and advisors – and that is how to manage conflicts of interest when the fiduciary advisor has only proprietary products or a limited range of investments to sell.

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