The SEC’s movement on Climate-Risk disclosure demonstrates what rulemaking should look like on the fiduciary standard.
Knut's Views
What if …. We Tell Investors the Truth? (Part Three)
Part three of a series where Knut Rostad, President of the Institute, argues that the SEC should be telling investors the simple truth about sales vs. advice.
What if …. We Tell Investors the Truth? (Part Two)
Part two of a series where Knut Rostad, President of the Institute, argues that the SEC should be telling investors the simple truth about sales vs. advice.
Price of Business Show Interview: Why Fee-Only Fiduciary Financial Advice is the Best
Knut Rostad, President of the Institute, is interviewed by Kevin Price, Host of the Price of Business Show.
What if …. We Tell Investors the Truth? (Part 1)
Rather than championing the mantra of “investor confusion,” the SEC should do as CFA Institute did: Tell investors the truth on how brokers and advisers differ.
Is Financial Planning a Profession? Does it Matter?
Skip Schweiss wants planners and consumers to know financial planning is not yet a profession.