{"type":"rich","title":"Fighting for the Fiduciary Standard: FPA\u2019s 2004 Lawsuit Against the SEC","version":"1.0","provider_name":"Blubrry","provider_url":"https://blubrry.com","author_name":"You're a Financial Planner, Now What?","html":"<iframe src=\"https://player.blubrry.com/?id=35948813\" title=\"Blubrry Podcast Player\" scrolling=\"no\" width=\"100%\" height=\"230\" frameborder=\"0\"></iframe>","height":"230","description":"On March 30, 2007, the Financial Planning Association made history by winning a lawsuit that vacated SEC Rule 202(a)(11)-1. This forced brokers to become SEC-regulated advisors, and helped to create a division of the two hats in the financial services ...","thumbnail_url":"https://assets.blubrry.com/coverart/160/38892.jpg"}