Wednesday, May 1, 2013 9:15 AM - 10:15 AM
Partner
GROOM LAW GROUP
Washington, D.C.
This session will review current and developing legal issues and
regulation relating to the administration and investment manage-
ment of retirement and other plans covered by the Employee
Retirement Income Security Act of 1974 (ERISA) and individual
retirement accounts (IRAs), including - new rulemaking address-
ing the definition of fiduciary, developments relating to disclosure
regulation, and emerging trends in litigation involving plans and
IRAs, including 401(k) plan fee litigation.