Advisors, Planners, Industry Veterans and Scholars Assess the State and Future of Fiduciary Advice and Planning
Phyllis Borzi, Assistant Secretary, EBSA, DOL, (2009-2017) Luis Aguilar, SEC Commissioner (2008-2015), Bob Veres, Ron Rhoades, Jamie Hopkins, Skip Schweiss, Elizabeth Jetton, Dave Yeske, Ben Edwards and millennial financial planners, speak out
Virtual panels on September 8, 13, 14, 15, 20, 21.
A hybrid in-person (NY) / virtual panel on September 22 features Frankel Fiduciary Prize honoree. Times/links on page 2, 3, 4
(The full news release can be downloaded in .PDF form here)
Media Coverage
- September 14, 2022 (InvestmentNews, Mark Schoeff Jr.) – Why has Knut Rostad lost faith in the SEC
- September 19, 2022 (FA Magazine, Tracey Longo) – FPA Pressing Ahead With ‘Planner’ Title Protection, Group’s Chairman Says
- September 19, 2022 (InvestmentNews Podcast) – Celebrating Fiduciary September with Knut Rostad
- September 21, 2022 (InvestmentNews, Ryan W. Neal) – Financial Advisers Debate The Best Ways To Charge Clients
- InvestmentNews Editorial – The ‘best’ way to pay for advice
- September 23, 2022 (FA Magazine, Edward Hayes) – Former DOL Official Sees Agency Redefining ‘Fiduciary’
- September 23, 2022 (FA Magazine, Tracey Longo) – Does Being A Fiduciary Depend On The Fee Model?
Institute Pamphlet
September 28, 2022 – Winston Churchill’s historic words help explain our mission (link)
Panels
September 8, 2022: 2:00 – 3:00 PM ET “The State of Advice and Fiduciary in 2022” Speakers: Brian Hamburger, Bob Veres, Skip Schweiss, Steven Lee and Thomas Trainor Moderator: Knut Rostad
3:00 – 4:00 PM ET “Reg BI: Enforcement and Guidance at Two Years” Speakers: Ben Edwards, August Iorio, Peter Mafteiu, Ron Rhoades Moderator: Knut Rostad
September 13, 2022: 3:00 – 4:00 PM ET “A New FPA in 2022?” Speakers: Evan Simonoff, Skip Schweiss, Knut Rostad; The Financial Planning Association (FPA) has announced its intent to protect the term “financial planner”; FA’s Evan Simonoff broke the story that FPA will leave the Financial Planning Coalition.
September 14, 2022: 4:00 – 5:00 PM ET “Empowering Success: Launching a Career in Financial Planning” Speakers: Anne Marie Ashworth and Emily Jackson
Two recent grads from financial planning programs and nationally recognized RIAs speak to current students on getting alternative paths to start their careers.
September 15, 2022: 3:00 – 4:00 PM ET ” The FPA Legal Victory over the SEC in 2007; What it Means in 2022″ Speakers: Elizabeth Jetton, Dan Moisand, Dave Yeske Moderator: Knut Rostad
The FPA victory over the SEC in 2007 is historic. The legal challenge was driven by a passion that consumers should get fiduciary advice. FPA leaders who were involved speak on its meaning in 2022.
September 20, 2022: 3:00 – 4:00 PM ET “The Debate: Fixed/flat/hourly or AUM Fees” Speakers: Adam Cross, Alex Offerman, Cody Garrett, Jamie Hopkins and Jeff Benjamin
Fiduciary fee-only advisors and planners debate the pluses/minuses of AUM fees. Publisher Bob Veres and advice strategist Mark Tibergien have noted problems with AUM. Younger fee-only planners are aggressively advocating AUM alternatives.
September 21, 2022: 3:00 – 4:00 PM ET “Millennials: ‘ The Future of Financial Planning'” Speakers: Christine Crigler, Lauren Stansell, Yesenia Realejo, Eileen Stevens, Dan Graham Moderator: Darren Fogarty
Technology, baby boomer retirements, covid and new social attitudes about the work / life relationship are forces changing thinking on the future financial planning. Millennials are leading the charge. View how five millennial financial planners think about the future of planning.
4:00 – 5:00 PM ET “Financial Advice or Social Media ‘Finfluencer’”
NASAA, The North American Securities Administrators Association, has focused on how social media lets celebrities and personalities offer endorsements of products or strategies. The line between credentialed “advice” and “influencers” who may have no financial expertise or credential is blurred.
Speakers: Knut Rostad, John J. Maron, Joseph Rotunda
September 22, 2022: 4:00 – 5:00 PM ET ” The State of Fiduciary Advice in 2022″ Speakers: Deborah DeMott, Phyllis Borzi, James Tierney and Knut Rostad; Commenter: Arthur Laby
With recent changes from the SEC, including Regulation Best Interest, Form CRS, the interpretation regarding the standard of conduct for investment advisers, panelists will discuss the state of fiduciary advice in 2022. I.E: the advantages / disadvantages of these regulatory developments, and compare and contrast advice from various market professionals, such as investment advisers, broker-dealers, retirement advisers, financial planners, banks, and others.
Some trace the recent changes to 2018, when the SEC proposed new rules, others trace these reforms to the 1970s. Panelists will also share perspectives on whether and when broader changes in the markets, and in society, bear on the duties and obligations of financial services providers.
5:00 – 5:20 PM ET “Award of Frankel Fiduciary Prize to Arthur A. Laby” Speakers (confirmed): Knut Rostad, Tamar Frankel, Deborah DeMott, Luis Aguilar
Related Materials and Content
- September 1, 2022: “What is Advice?” Knut Rostad, Advisor Perspectives
- September 8, 2022: “Reg BI Enforcement at Two Years”
- SEC and CFPB Standards Abandon Advisers Act Principles
- Knut Rostad, Darren Fogarty paper on how the SEC and CFP Board new standards abandon fiduciary principles set out in the Investment Advisers Act of 1940 and affirmed by the Supreme Court.
- SEC and CFPB Standards Abandon Advisers Act Principles
- September 13, 2022: “A New FPA in 2022?”
- FPA Leaving The Financial Planning Coalition at Year’s End
- McClure Thesis-Profession and the Practice of Personal Financial Planning
- Jeffrey W. McClure, an exhaustive article on the history of the professions and financial planning.
- FPA to Pursue Legal Recognition of Financial Planners Through Title Protection
- FPA July 22 Announcement
Fiduciary September 2022 Speaker List
Anne Marie Ashworth, Abacus Planning Group
Luis A Aguilar, SEC Commissioner, Securities & Exchange Commission, 2009—2015
Phyllis Borzi, Assistant Secretary, EBSA, Department of Labor, 2009-2017
Jeff Benjamin, Senior Columnist,Investment News
Christine Crigler, Summit Place Financial Advisors
Adam Cross, AMC Wealth Management
Deborah DeMott, David F. Cavers Professor of Law, Dule Law
Benjamin Edwards, Professor of Law, Las Vegas Boyd School of Law
Darren Fogarty, SOLV
Tamar Frankel, Professor of Law, Emerita, Boston University School of Law
Cody Garrett, Measure Twice Financial
Dan Graham, NextGen Planners, United Kingdom
Brian Hamburger, MarketCounsel
Jamie Hopkins, Carson Group
August Iorio, Iorio Altamirano
Emily Jackson, Plancorp
Elizabeth Jetton, Elizabeth Jetton Consulting Services
Arthur Laby, Rutgers Law School
Steven Lee, California State Polytechnic University
Peter Maftieu, Sound Compliance
John J. Maron, Department of the Secretary of State
Dan Moisand, MoisandFitzgerald
Yesenia Realejo, Tobias Financial Advisors
Ron A. Rhoades, Associate Professor of Finance, Western Kentucky University
Joseph Rotunda, Texas State Securities Board
Skip Schweiss, Ambassador for Fiduciary Advice and Financial Planning
Evan Simonoff, Editor in Chief, Financial Advisor
Lauren Stansell, Yeske Buie
Eileen Stevens, RegentAtlantic
James Tierney, Assistant Professor, Nebraska College of Law
Thomas Trainor, Hanover Private Client Corporation
Bob Veres, Inside Information
Dave Yeske, Yeske Buie
About the Institute for the Fiduciary Standard
The Institute for the Fiduciary Standard is a non-profit formed in 2011 to provide research, education and advocacy on the vital role of the fiduciary standard for investors and the capital markets. For more information, visit www.thefiduciaryinstitute.org.
(The full news release can be downloaded in .PDF form here)