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Insurers cite broker-dealer annuity requirements as ‘big issue’ under DOL fiduciary rule
B-Ds and other annuity distributors are asking insurers for product specifications with an eye toward compliance with the new regulation. Read More
Wealth Adviser Daily Briefing: Fiduciary Consequences
Wealth Adviser Daily Briefing: Fiduciary Consequences By Michael Wursthorn The Wall Street Journal Sep 29, 2016 5:30 am ET The Obama administration’s new rule requiring brokers to act in the best interest of retirement savers doesn’t start to take effect until next year, but it is already transforming the financial-services landscape. Nationwide Mutual Insurance Co. […]
Sept 28, 2016 Symetra- IRA Maximization Strategies
Recorded webinar: Symetra