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Fiduciary Issues
Industry & Regulatory News
DOL Reports to Congress on Prior Pension Risk Transfer Guidance
The Department of Labor (DOL) has reported to Congress on Interpretive Bulletin 95-1, pursuant to a directive under Section 321 of SECURE 2.0. Interpretive Bulletin 95-1 provided guidance on fiduciary standards for selecting an annuity provider for a defined benefit plan. DOL reports that the bulletin’s factors are still relevant to a fiduciary’s prudent and loyal evaluation, but did note that the agency may further explore developments in both the life insurance industry and in pension risk transfer practices to determine whether additional guidance is needed.
Industry & Regulatory News
Washington Pulse: DOL Releases Final Investment Advice Fiduciary Rule
The Department of Labor (DOL) recently released a regulatory package that includes a final amendment (the Retirement Security Rule) to the regulations that define what constitutes an investment advice fiduciary under the Employee Retirement Income Security Act of 1974 (ERISA) Title I and Title II (codified in the Internal Revenue Code).
Industry & Regulatory News
SEC Releases Cybersecurity Final Rule
The Securities and Exchange Commission (SEC) has issued a final rule to address cybersecurity risks.
Industry & Regulatory News
CIP Requirements for Registered Investment Advisers Proposed
The Financial Crimes Enforcement Network (FinCEN), Securities and Exchange Commission (SEC), and Department of Treasury have jointly issued a proposed rule titled Customer Identification Programs for Registered Investment Advisers and Exempt Reporting Advisers.
Industry & Regulatory News
ERISA Insights: DOL Releases Final Fiduciary Rule for Investment Advisers
The Department of Labor (DOL) has released a final rule updating the definition of an investment advice fiduciary under ERISA.
Industry & Regulatory News
DOL Releases Proposed Retirement Savings Lost and Found Information Collection
The Department of Labor (DOL) is proposing to collect information in order to establish the Retirement Savings Lost and Found online searchable database described in Section 523 of ERISA as amended by Section 303 of SECURE 2.0.
Industry & Regulatory News
DOL Fiduciary Rule Has Left OMB
A final rule titled “Retirement Security Rule: Definition of an Investment Advice Fiduciary” has left the Office of Management and Budget (OMB).
Industry & Regulatory News
DOL Releases Final Rule on QPAM Exemptions
The Department of Labor has issued a final rule “Amendment to Prohibited Transaction Class Exemption 84-14 (PTE 84-14) for Transactions Determined by Independent Qualified Professional Asset Managers (the QPAM Exemption)”.
Industry & Regulatory News
DOL Final Rule on QPAM Exemptions Has Left OMB
A final rule titled, “Proposed Amendment to PTE 84-14 for Plan Asset Transactions Determined by an Independent Qualified Plan Asset Manager,” (QPAM) has left the Office of Management and Budget—suggesting that official release may come soon.
Industry & Regulatory News
PBGC Updates Interest Assumptions for Valuing Benefits for Second Quarter 2024
The Pension Benefit Guarantee Corporation (PBGC) has issued a final rule updating interest assumptions under the asset allocation regulation for plans with valuation dates in the second quarter of 2024.