Fiduciary Corner
- FAQ on Fee Disclosures DOL (May 2012)
- DOL retirement plan enforcement to increase Benefits Pro (March 2012)
- Employer to Pay for Failing to Monitor RK Costs Plan Adviser (April 2012)
- 401(k) Plan Checklist IRS Publication
- Final Regulation – Service Provider Disclosures Under Section 408(b)(2) DOL (Feb 2012)
- Changes to Final Fee Disclosure Rule DOL (Feb 2012)
- DOL Interim e-disclosure policy under participant fee disclosure regulations DOL (Dec 2011)
- Employer Breached ERISA by Failing to Make Rollover Distribution Plan Adviser (Feb 2012)
- IRS Answers New Question on Form 8955-SSA Plan Adviser (Jan 2012)
- Reform School: Consequences of Current Tax Reform Proposals Plan Adviser (Dec 2011)
- Plan Must Pay Back Assets Wrongly Transferred to Ex-Spouse Plan Adviser (Dec 2011)
- Tax Court Enforces 10% Penalty on Deemed Distribution Plan Adviser (Aug 2011)
- DOL Sues Trustees over Plan Loan Violations Plan Adviser (Sept 2011)
- Court OKs Class Actions for ERISA Cases Plan Adviser (Jan 2011)
- Final Rule on Fee & Expense Transparency DOL (Oct 2010)
- The Pension Protection Act of 2006 DOL
- Qualified Default Investment Alternatives DOL
- Meeting Your Fiduciary Responsibilities DOL
- Managing Fiduciary Risk During a Down Market The Standard (July 2009)
- The 2009 Form 5500: What You Need to Know Federated (Nov 2009)
- Safe Harbor Relief Employee Plans News (May 2009)
- Too Many Choices: A Problem That Can Paralyze The New York Times (Feb. 2010)