Monday, April 28, 2014 1:15 PM - 2:30 PM
Partner
GROOM LAW GROUP
Washington, D.C.
This session will review current and developing
legal issues and regulation relating to the
administration and investment management
of retirement and other plans covered by the
Employee Retirement Income Security Act of
1974 (ERISA) and individual retirement accounts
(IRAs), including updates on rulemaking
addressing the definition of fiduciary, developments
relating to disclosure regulation, and
emerging trends in enforcement and litigation
involving plans and IRAs.