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Wiles retired from Los Angeles County at year-end but will still influence the industry as a member of the Municipal Securities Rulemaking Board.
January 10 -
The resolution marks the end of a yearslong lawsuit.
December 30 -
Indianapolis-based Sycamore Advisors is building its quantitative muscle with two new experienced municipal finance hires in New York: Peter Orr and Ching Yin.
December 20 -
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JoAnne Carter, managing director and president of PFM, will succeed Hartman as CEO.
November 20 -
The board is seeking one municipal advisor, one broker-dealer and two public representatives to join the board for FY 2026.
November 19 -
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Enright's passion for infrastructure and complicated deals led him to the cutting edge of municipal financing strategies.
October 4 -
The U.S. District Court for the Southern District of California entered a final judgment against Matthias O'Meara and Choice Advisors, fining them $312,572 and $187,337, respectively.
October 2 -
"It's great people are thinking about creative solutions, but don't forget the rules still apply," said the SEC's Dave Sanchez.
September 18 -
The commission charged the municipal advisors $1.3 million in penalties due to recordkeeping failures stemming from use of unmonitored communications, such as text messages, to conduct business.
September 17 -
Thompson is known for mentoring his employees and his fair treatment of clients.
September 12 -
Tensquare and its partner Karl Jentoft were charged for acting as an unregistered municipal advisor in eight offerings for charter schools in Minnesota.
August 28 -
The SEC won its case against Richard Ganci and Richard Tortora of Capital Markets Advisors over conflicts of interest present in their fee arrangement in connection to a $119 million offering for the City of Rochester, New York.
April 17 -
Kaufman Hall & Associates, Piper Sandler and Montague DeRose & Associates moved into the top 10, while CSG Advisors, Estrada Hinojosa and RBC Capital Markets were bumped.
April 9 -
Representatives from the Securities and Exchange Commission gathered Tuesday to discuss some of their examination priorities and some of the trends they're seeing outside of exams.
April 3 -
Capital Markets Advisors and its co-principals Richard Ganci and Richard Tortora are caught up in a legal back and forth with the SEC over how MSRB Rule G-42 on conflicts of interest applies to their case.
January 23 -
Caine Mitter & Associates and RBC Capital Markets moved into the top 10, while Piper Sandler & Co. and Kaufman Hall & Associates were bumped to the top 15.
January 8 -
The Philadelphia-based financial advisory firm has used BVAL for several years, but once the full interpolated curve and the intraday hourly changes were released on the EMMA, PFM decided to use BVAL as its primary pricing curve.
December 19 -
The city may also issue an RFP for underwriters, though the timing is not set, said CFO Jill Jaworski.
November 29













