Quantcast
The MFWire
Manage Email Alerts | Sponsorships | About MFWire | Who We Are

Subscribe to MFWire.com's News Alerts [click]

Rating:Galvin Goes After Morgan Stanley Not Rated 0.0 Email Routing List Email & Route  Print Print
Monday, August 11, 2003

Galvin Goes After Morgan Stanley

by: Sean Hanna, Editor in Chief

Morgan Stanley is in still more hot water for how it encouraged brokers to push its funds. The latest trouble is an administrative complaint filed in Massachusetts by Secretary of the Commonwealth William Galvin under that state's anti-fraud regulations. Last month, Galvin initiated a look into sales practices at the firm in response to allegations made by a broker.

The new complaint could broaden the case against Morgan Stanley into a national one. The problems allegedly started at Morgan Stanley's national branch-managers meeting held in Chicago in July 2002. At that meeting the firm set a nationwide sales goal of its proprietary funds of $5.27 billion for Morgan Stanley's fourth fiscal quarter.

The complaint contends that Morgan Stanley waived $100,000 in front of brokers to as part of a sales contest designed to encourage the brokers to sell its funds. Through the civil action the state seeks an estimated $5 million to $8 million in commissions that it claims Morgan Stanley collected through sales of its funds. Galvin is also seeking civil penalties.

To encourage the sales in the northeast region, Massachusetts's regulators contend that sales managers provided prizes, including $15,000 for the sales team that sold the most in-house funds during the quarter. The team that sold the most in November were promised a reported $6,000. Other prizes included awards of $9,000, $7,500 and $6,000 for branches that met set percentages of predetermined sales targets.

Galvin claimed that the practice harmed investors by pushing them into funds that may not have been the best for them. "It put Massachusetts investors at a great disadvantage," he said at a press conference announcing the action. He also contends that Morgan Stanley broke Massachusetts's law when the brokers did not disclose all of the incentives they were receiving to fund investors.

"These kinds of practices under cut the public confidence. I find it very disturbing that Morgan Stanley's culture put sales contests ahead of customers," Galvin said. He also said that state investigators are investigating the matter to see how high ranking the executives were at Morgan Stanley who knew of the contests.

Galvin also alleged that Morgan Stanley revealed knowledge that their plan was illegal. As evidence, he pointed to an internal email from Drew Hawkins, associate regional director for Morgan Stanley's northeast region that instructed branch managers to inform brokers not to put the details of the reward program into writing.

"Please DO NOT put anything in writing via E-mail or fax," read the August 27 email. It added that managers should "walk your team members through this information VERBALLY."

Galvin also provided more details of how the branch manager of the Morgan Stanley Back Bay office pressured brokers to sell the Morgan Stanley Allocator fund.

"Varela promised financial incentives and rewards to financial advisers who successfully met the demanding production goals he set for the Fund," according to the complaint filed by Galvin's office. "Conversely, financial advisers also understood that negative consequences such as the loss of client leads, travel and entertainment reimbursements, office assignments and ultimately the potential loss of employment with Morgan Stanley would result if they did not meet the sales objectives."  

Stay ahead of the news ... Sign up for our email alerts now
CLICK HERE

0.0
 Do You Recommend This Story?



GO TO: MFWire
Return to Top
 News Archives
2025: Q3Q2Q1
2024: Q4Q3Q2Q1
2023: Q4Q3Q2Q1
2022: Q4Q3Q2Q1
2021: Q4Q3Q2Q1
2020: Q4Q3Q2Q1
2019: Q4Q3Q2Q1
2018: Q4Q3Q2Q1
2017: Q4Q3Q2Q1
2016: Q4Q3Q2Q1
2015: Q4Q3Q2Q1
2014: Q4Q3Q2Q1
2013: Q4Q3Q2Q1
2012: Q4Q3Q2Q1
2011: Q4Q3Q2Q1
2010: Q4Q3Q2Q1
2009: Q4Q3Q2Q1
2008: Q4Q3Q2Q1
2007: Q4Q3Q2Q1
2006: Q4Q3Q2Q1
2005: Q4Q3Q2Q1
2004: Q4Q3Q2Q1
2003: Q4Q3Q2Q1
2002: Q4Q3Q2Q1
 Subscribe via RSS:
Raw XML
Add to My Yahoo!
follow us in feedly


    Sorry, no records in the database matched your search parameters. Clich back and try again.



  1. Nicsa webinar - New research by Alex Edmans and the Diversity Project - The Power of diverse thinking: How the best teams make decisions, July 1
  2. MFDF Director Discussion Series - Open Forum, July 9
  3. MFDF webinar - Mid-Year Tax Update for Registered Investment Companies, July 10
  4. MFDF Director Discussion Series - Open Forum (Philadelphia), July 15
  5. 2025 MMI Women in Advisory Solutions Forum, Jul 15-16
  6. Nicsa webinar - How Trusted GenAI is Transforming Data Access in Asset Management, July 16
  7. MFDF webinar - M&A and Consolidation in Asset Management, July 16
  8. MFDF webinar - ETF Conversions, July 17
  9. MFDF Director Discussion Series - Open Forum (New York), July 22
  10. MFDF Ask Anything webinar - AI Edition, July 24
  11. MFDF webinar - Use of Derivatives by RICs, July 29
  12. MFDF Director Discussion Series - Open Forum (Columbus, Ohio), August 20
  13. Samfund Soiree Boston 2025, August 21
  14. MFDF webinar - The Audit Committee Chair's Guide to Balancing Duties and Emerging Issues, September 3
  15. ICI ETF Conference, Sep 8-10
  16. Nicsa webinar - Reimagining Reconciliation: AI, Regulation, and Capital Markets Transformation, September 10
  17. MFDF webinar - Series Trust Funds - Compliance and Board Reporting, September 10
  18. MFDF In Focus - Board Oversight of DEI in Current Landscape, September 11
  19. MFDF webinar - MFDF 15(c) White Paper Webinar Series: Part 4 – Enforcement Action Takeaways, September 16
  20. MFDF webinar - Latest in Closed-End Funds Litigations, September 23
  21. MFDF webinar - Fixed Income Insights: Navigating Market Trends & Opportunities, September 24
  22. MFDF webinar - Risk Management Essentials for RICs and Boards, September 29
  23. MFDF webinar - Diligent - Tools for Fund Board Book, October 1
  24. 10th annual Fuse Forum, October 8
  25. MFDF webinar - Essential Strategies in Board Oversight of Operational Risk Management, October 14
  26. 2025 MMI Annual Conference, Oct 15-17




©All rights reserved to InvestmentWires, Inc. 1997-2025
14 Wall Street | 20th Floor | New York, NY 10005 | P: 212-331-8968 | F: 212-331-8998
Privacy Policy :: Terms of Use