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

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

Rating:NASD Fines Five B-Ds for Allowing Late Fund Trades Not Rated 3.0 Email Routing List Email & Route  Print Print
Thursday, June 24, 2004

NASD Fines Five B-Ds for Allowing Late Fund Trades

Reported by Sean Hanna, Editor in Chief

The NASD is going after broker-dealers that allowed late trading in mutual funds. Thursday the self-regulatory organization fined five brokerage firms a total of $625,000, claiming that they failed to "implement adequate supervisory systems and written procedures reasonably designed to detect and prevent 'late trading' of mutual funds."

In settling with NASD, the firms neither admitted nor denied NASD's findings. The five funds hit with the fines were:

  • D.A. Davidson & Co. (fined $150,000)
  • TD Waterhouse Investor Services, Inc. (fined $150,000)
  • Stifel Nicolaus & Company (fined $125,000)
  • National Planning Corp. (fined $100,000)
  • SII Investments, Inc. (fined $100,000)

    "To help ensure that illegal late trading does not occur firms must implement systems to guarantee that all mutual fund orders processed after the close of the market were received during normal trading hours," said NASD Vice Chairman Mary L. Schapiro. "NASD will be vigilant about sanctioning firms for failing to have adequate supervisory systems in place designed to prevent manipulative late trading, regardless of whether such trading in fact occurs."

    The NASD defines late trading as any trade placed after the 4 PM market close, which is also priced at that day's NAV. By law fund trades placed after 4 PM must receive the next day's price.

    NASD officials said that each of the firms sanctioned permitted its registered representatives to process mutual fund orders after the close of the market, but none of the firms had adequate systems in place to ensure that only orders received prior to that day's market's close received that day's NAV.

    In addition, the NASD said that D.A. Davidson & Co., also failed to comply with a new record-keeping rule that went into effect in May 2003 requiring firms to record the time of receipt of orders to buy or sell mutual fund shares.  

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

  • 3.0
     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


    1. MFDF Director Discussion Series - Open Forum, July 9
    2. ICI webinar - The Digital Future of Asset Management: Current State and Regulatory Landscape, July 10
    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