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Mutual funds under fire: reform initiatives

Thomas R. Smith Jr (Partner at Sidley Austin Brown & Wood LLP New York, NY, USA, (tsmith@sidley.com))

Journal of Investment Compliance

ISSN: 1528-5812

Article publication date: 1 April 2006

1656

Abstract

Purpose

To describe the broad range of reform initiatives that has been undertaken in response to a series of mutual fund scandals that have become apparent starting in 2003. This is the second of a two‐part article. The first part, in Volume 7, Number 1, is a chronology of developments related to the fund scandals since 1 January 2003.

Design/methodology/approach

Describes SEC reforms, including governance reforms; compliance reforms; SEC‐directed expanded disclosure regarding fund expenses and costs; reforms with respect to share distribution practices; reforms addressing market timing, selective disclosure, and fair value pricing; other reform initiatives including codes of ethics for investment advisers and a requirement that hedge fund advisers register with the SEC; an enhanced surveillance and inspection program for mutual funds; and enforcement activities. Describes private civil suits brought against fund companies, legislative proposals, the roles of NASD and New York State Attorney General Eliot Spitzer, the development of “best practices” guides by industry groups, and measures being promoted by institutional investors.

Findings

A broad range of reform initiatives has been undertaken by the SEC; NASD; and the New York, Massachusetts, and California Attorneys General. Both the US House of Representatives and the Senate have held hearings and proposed legislation, which at the moment appears dormant. Independent directors of only one mutual fund have been implicated in the trading abuse scandals. Hundreds of private civil lawsuits have been brought by fund shareholders against fund groups but virtually none has resulted in substantial restitution to plaintiffs.

Originality/value

A detailed and comprehensive analysis of reform initiatives in response to mutual fund scandals since 2003.

Keywords

Citation

Smith, T.R. (2006), "Mutual funds under fire: reform initiatives", Journal of Investment Compliance, Vol. 7 No. 2, pp. 4-27. https://doi.org/10.1108/15285810610711545

Publisher

:

Emerald Group Publishing Limited

Copyright © 2006, Emerald Group Publishing Limited

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