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Some stakeholders say the CUSIP requirement for MAs is needed, while other say it is burdensome.
May 28 -
Municipal Securities Rulemaking Board Chair Gary Hall said the MSRB will examine governance rules such as the time period between when individuals leave their industry jobs and when they are allowed to become public board members.
May 19 -
GFOA members said they were taken aback and in some cases upset about the tone of the National Federation of Municipal Analysts' letter to regulators.
May 19 -
The BDA believes that in addition to removing the Rule’s restriction on competitively bid transactions, it should consider simply eliminating it altogether.
May 16
Bond Dealers of America -
Data from a Municipal Securities Rulemaking Board report released Wednesday showed a continuing decline in the number of dealers.
May 9 -
More insight into board member selection and decisions would benefit the market and its primary regulator.
May 1
The Bond Buyer -
Numbers showed 167 submissions for Rule 15c2-12's Event 15.
May 1 -
Bond Dealers of America members said they have spent an average of more than $17 million on regulatory costs since the beginning of the 2008 credit crisis.
April 25 -
The SEC’s Technology and Electronic Trading Subcommittee meets on pennying.
April 15 -
The SEC now has a stronger card to play when pursuing an enforcement case, lawyers said.
April 3 -
Capital Finance Director David Erdman emphasizes that the Wisconsin's bills and debt service will be paid even if the state budget is late.
March 28 -
It's a critical moment in the municipal bond market, and participants need to embrace change with a stronger voice in Washington and beyond.
March 19
Arizent, The Bond Buyer -
Former Macon-Bibb County Manager Dale Walker agreed to settle charges he gave an advantage to an investment adviser the SEC said he was pursuing romantically.
March 18 -
A bill to let money market mutual funds use a stable net asset value is back on the table with the support of muni issuers.
March 13 -
Bond lawyers pushed for information from the SEC's top muni official Thursday.
March 8 -
Some issuers were concerned about precedents they would be setting and questions underwriters could have regarding compliance with the amended rule.
March 5 -
The new guidance cleared up social media advertising restrictions and interactive content.
February 26 -
The groups plan to address advertising, defining duties for non-solicitor muni advisors and test prepping during the program.
February 21 -
An SEC muni office official discussed 15c2-12 and more on Tuesday.
February 12 -
Issuers are still seeking clarity on new SEC rules as a Feb. 27 deadline approaches.
February 8















