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ERISA 2018: The Evolving World
William E. Ryan, Erin K. Cho
Employee Benefits, Employment, Tax
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Table of Contents
Table of Contents
Chapter 1. Robin M. Bergen, Carl F. Emigholz, Arthur H. Kohn, Colin D. Llyod and Alexander Janghorbani, Cleary Gottlieb, Alert Memorandum, SEC Proposes New Best Interest Standard for Broker-Dealers and “Clarification” of Existing Fiduciary Standard for Investment Advisers—New Standards Seek to Maintain Flexibility But Leave Open Questions About Scope and Enforcement (May 2, 2018)
Chapter 2. Groom Law Group, Fiduciary Proposal: Episode III—Revenge of the SEC (April 25, 2018)
Chapter 3. Groom Law Group, DOL Announces Temporary Enforcement Policy in Response to Fifth Circuit Decision (May 7, 2018)
Chapter 4. Groom Law Group, Fifth Circuit Vacates DOL Fiduciary Rule (March 22, 2018)
Chapter 5. Peter E. Heller and Mary Eaton, Willkie Farr & Gallagher LLP Client Alert, Fifth Circuit Overturns DOL Fiduciary Rule (March 19, 2018)
Chapter 6. Investment Products and Technology in the Post-DOL Fiduciary Rule Environment (PowerPoint slides)
Chapter 7. Groom Law Group, ESGs—Perspectives of the OECD and New US Guidance (May 8, 2018)
Chapter 8. Groom Law Group, DOL and ESG Investing: Evolving Guidance (April 27, 2018)
Chapter 9. Eversheds Sutherland, Legal Alert: DOL “Clarifies” Its Guidance on Proxy Voting and Social Investing (April 27, 2018)
Chapter 10. Eversheds Sutherland, Legal Alert: IRS Posts Six More “Issue Snapshots” for Retirement Plans (May 29, 2018)
Chapter 11. Jackie Selby, Helaine I. Fingold, Gretchen Harders, Gregory R. Mitchell, Kevin J. Malone and Cassandra Labbees, Epstein Becker Green Health Care & Life Sciences Client Alert, Association Health Plans: New Proposed Rule to Help Convert Small Businesses and Self-Employed Individuals into a Status Similar to Large Group for Access to Affordable Health Insurance (January 2018)
Chapter 12. David M. Silk, Sabastian V. Niles, Alicia C. McCarthy and Camren X.W. Lu, Wachtell, Lipton, Rosen & Katz Firm Memo, An ESG Setback? DOL Sounds Cautionary Tone on ESG-Related Proxy Voting, Shareholder Engagement and Economically Targeted Investments (April 27, 2018)
Chapter 13. Robert N. Eccles and Shannon M. Barret, Fiduciary Litigation under ERISA (January 31, 2015)
Chapter 14. Department of Labor Enforcement Panel Outline
Chapter 15. Types of Tax-Qualified Retirement Plans (April 30, 2018)
Chapter 16. 2018 Update on Underfunded ERISA Retiree Obligations: MEPPs and SEPPs and OPEBs—Oh My! (April 30, 2018) (PowerPoint slides)
Chapter 17. Multiemployer Pension Plan Withdrawal Liability: The Intersection of Labor Law and ERISA (PowerPoint slides)
Chapter 18. Navigating Murky Waters: Ethics for the ERISA Lawyer (May 2018)
All Contents Copyright © 1996-2020 Practising Law Institute.
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