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The Government Finance Officers Association's executive board has approved five new best-practice documents, including a paper recommending that issuers develop a policy to ensuring they adequately fund pension plans.
February 26 -
The Municipal Securities Rulemaking Board has moved its library of electronic disclosures of dealers' political contributions to the EMMA system, the board announced Monday.
February 26 -
The Municipal Securities Rulemaking Board should update its rule book to include training materials written for enforcement agents and references to related enforcement actions, and should clarify rules on fair dealing and financial advisors, according to the National Association of Bond Lawyers.
February 22 -
Citing the need to review millions of pieces of evidence, former Bank of America executive Phillip Dennis Murphy, who was indicted in July 2012 for scheming to rig bids for investment contracts, has waived his right to a speedy trial and requested a trial date of Feb. 3, 2014.
February 21 -
The Municipal Securities Rulemaking Board should harmonize its rules with those of other regulatory agencies, conduct thorough analysis of the costs imposed by its rules and clarify language in the rules to make them less ambiguous for market participants and compliance examiners, said comment letters filed with the board in recent days.
February 20 -
Seven firms and two individuals have agreed to pay a total of $164,500 in fines and nearly $17,000 in restitution for violating trade, price and other rules of the Municipal Securities Rulemaking Board.
February 19 -
Rep. Steve Stivers, R.-Ohio, introduced a bill Friday that would define municipal advisors as those engaged with a municipal issuer to provide financial advice for compensation, with exceptions from the definition and its fiduciary duty for members of governmental boards, underwriters, bankers, swap dealers and those that provide related advice.
February 15 -
The Financial Stability Oversight Council lacks legal authority to recommend additional money market fund regulations, which have been opposed by a variety of municipal market participants, say industry and business advocacy associations in recently filed comment letters.
February 15 -
The Municipal Securities Rulemaking Board has filed proposed rule changes with the Securities and Exchange Commission that would require dealers to disclosure more information about contributions to issuers' bond ballot campaigns and resulting underwriting agreements.
February 14 -
Appointed members of state and local governmental boards will likely be exempted from the Securities and Exchange Commission's final definition of municipal advisor, which is expected to be released early this year, the SEC chairman said Thursday.
February 14 -
Market participants say munis are key to reaching the infrastructure goals laid out in President Obama's State of the Union Address, but caution that cuts to munis' tax benefits could make it difficult to fund the large-scale projects Obama described.
February 13 -
Lawyers for three former bankers convicted of rigging bids for municipal bond reinvestment contracts have pinned their appeals partly on circumstances surrounding the testimony of cooperating witness Adrian Scott-Jones, who abruptly left the courthouse during a day of testimony, and never returned.
February 12 -
Rep. Steve Stivers, R-Ohio, will introduce legislation in the coming days similar to a municipal advisor bill that passed the House last September.
February 11 -
Municipal market groups have mixed views about a Municipal Securities Rulemaking Board proposal to require underwriters to file preliminary official statements on the EMMA system.
February 11 -
The Government Finance Officers Association's executive board is expected on Friday to approve a new best-practice document that gives municipal bond issuers guidance about the types of fees they can expect to incur when issuing municipal debt, a GFOA consultant said.
February 8 -
Securities and Exchange Commission staff are in late stages of finalizing the municipal advisor definition and are considering concerns raised about the definition by state and local governments, John Cross, the head of the SEC's Office of Municipal Securities told a group of state and local finance officials here Thursday.
February 7 -
Members of the Government Finance Officers Association committee on governmental debt management said this year could bring a slew of revolutionary new regulatory or legislative changes that could overhaul the structure and operation of the municipal market.
February 7 -
Municipal market insiders say muni-related items working though the Securities and Exchange Commission will likely remain on track if Mary Jo White, a securities litigator and former U.S. prosecutor, becomes the SEC's new chairman.
February 6 -
The Financial Industry Regulatory Authority's municipal market priority this year will be ensure that brokers adequately disclose risks associated with tax-exempt bonds backed by revenue from private and nonprofit entities, which have significantly higher default rates than general obligation bonds.
February 4 -
The Securities and Exchange Commission's municipal bond office has sent a so called "no-action" letter to NetRoadshow Inc., paving the way for the firm and its underwriter clients to present Internet-based "road shows" on municipal bond offerings to retail investors.
February 1