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FINRA Brands DOL Fiduciary Rule Misguided and Confusing, InvestmentNews, 7/18/2015

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InvestmentNews, July 18, 2015
By Mark Schoeff Jr.

A Labor Department proposal designed to reduce conflicts of interest for brokers working with retirement accounts would create overlapping regulations that would baffle financial advisers and investors, Finra said Friday. (Click here to read entire article.)


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