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Proskauer Rose LLP | USA | 18 Jan 2019

Podcast: Key Considerations for ERISA Plan Fiduciaries When Delegating Investment Authority

In this Episode of The Proskauer Benefits Brief, partner Ira Bogner and senior counsel Adam Scoll discuss the key considerations for ERISA plan


Drinker Biddle & Reath LLP | USA | 13 Dec 2018

Qualified Retirement Plan Guidance Updates

Plan sponsors should consider a few items of guidance issued recently by the Internal Revenue Service (IRS) and the Department of Labor (DOL) in


Shearman & Sterling LLP | USA | 30 Nov 2016

What’s Next for the DOL’s ‘Fiduciary’ Rule?

Under consideration for over 15 years, the rule’s applicability date lands shortly after the Republicans gain control of both houses of Congress and


McDermott Will & Emery | USA | 23 Aug 2016

Michigan Health Insurance Claims Assessment Act is Not Preempted by ERISA

The Sixth Circuit, has decided, on remand from the Supreme Court, that the Michigan Health Insurance Claims Assessment Act (Act) is not preempted by


Lane Powell PC | USA | 1 Aug 2016

ERISA: 2nd Circuit Mental Health Provider Lacks Standing to Challenge ERISA Benefit Denial

Here’s the case of American Psychiatric Association v. Anthem Health Plans, 821 F. 3d 352 (2nd Cir. 2016)(Physicians and physician associations


McDermott Will & Emery | USA | 28 Jul 2016

View From McDermott: Fifth Circuit Focuses on Process in ESOP Valuations

Though the Supreme Court’s 2014 unanimous ruling in Fifth Third Bank v. Dudenhoeffer announced the Employee Retirement Income Security Act (ERISA)


Haynes and Boone LLP | USA | 13 Jul 2016

ERISA Does Not Preempt Michigan Paid Claims Tax

In Self-Insurance Institute of America v. Snyder, the U.S. Court of Appeals for the Sixth Circuit ruled that ERISA does not preempt a Michigan state


Proskauer Rose LLP | USA | 23 Apr 2015

U.S. Department of Labor proposes new fiduciary standard

Last week, the U.S. Department of Labor (DOL) issued its highly anticipated, re-proposed regulation addressing when a person providing investment


Winston & Strawn LLP | USA | 14 Jun 2013

Executive does the right thing - and gets screwed for it!

A case decided last month in federal court in North Carolina, Yarber v. Capital Bank Corporation, involved a factual situation that many private


Dechert LLP | USA | 9 Nov 2011

ERISA exemption for investment advice: 2011 final regulations

The U.S. Department of Labor (“DOL”) on October 25, 2011 issued a final rule implementing the ERISA statutory exemption from the prohibited transaction rules for providers of investment advice to benefit plan participants and individual retirement accounts, enacted under the Pension Protection Act of 2006 (“PPA”).

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