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President Trump's bid to close the Department of Education could put added pressure on some charter school credits, muni market sources said.
April 1 -
Mary Simpkins, who joined the SEC's Office of Municipal Securities in November 1997, is retiring.
March 27 -
United First Partners was fined for reporting and supervisory rule violations as part of a wider FINRA disciplinary action involving the firm.
March 26 -
The American Securities Association's federal appeals court case regarding an SEC order has been stayed until Aug. 13.
March 25 -
NewEdge Securities was also ordered to pay disgorgement of $750,746 plus interest.
March 24 -
Natural disaster disclosure warrants 'a special focus,' NFMA's 2025 chair says.
March 20 -
The MSRB has said it is amending a pending rule change that would greatly shorten the reporting time standard for municipal bond trades, which could cause problems for certain transactions, dealer firms said.
March 17 -
SEC probe relating to a cyberattack on a Michigan township's bond sale could involve looking into whether investors are getting an accurate picture of the issuer's credit risk, a former SEC enforcement attorney said.
March 12 -
Court challenges to self-regulatory organizations may have the potential to trigger a financial crisis, a law professor warns.
March 12 -
The MSRB said its board at a previously scheduled meeting Thursday authorized the filing of further amendments to Rule G-14 .
March 7 -
FINRA found that Tradeweb had violated an MSRB rule by failing to include the 'NTBC indicator' when reporting certain municipal securities transactions.
March 6 -
Disasters like wildfires, floods and hurricanes "are striking harder and more often."
March 5 -
The American Securities Association in a brief filed in the U.S. Court of Appeals for the Eleventh Circuit said an SEC order should be set aside because the MSRB is unconstitutionally structured.
February 28 -
One California city has found that corralling a joint powers authority isn't easy.
February 27 -
Seconds – even just one of them – count, FINRA's fining of MarketAxess shows
February 27 -
Trump's executive order raises concern about whether the SEC will pursue certain fraudsters, even if staff deems action warranted.
February 20 -
MSRB holistic review of its MA rules "likely to be a multi-year project," NAMA executive director says.
February 20 -
Yields and market volatility "positively correlated with trading volume," a research report published by MSRB finds.
February 14 -
Portfolio managers seem more sanguine about threats to the tax exemption from Congress.
By Caitlin Devitt and Kathie O'DonnellFebruary 13 -
Hilltop and other firms say more recent SEC off-channel communications settlements eliminated "costly and burdensome" requirements that were imposed on them.
February 10

















