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Pension Plan Investments 2006: Confronting Today's Issues
Chair(s):
Arthur H. Kohn, Howard Pianko
Practice Area:
Corporate law,
Employee benefits,
Securities and other financial products
Published:
May 2006
i
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ISBN:
1402407483
PLI Item #:
8579
CHB Spine #:
J711
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Table of Contents
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Front Matter
Table of Contents
Chapter 1. Final Amendments to U.S. Department of Labor Exemption (PTE 84-14) from Prohibited Transaction Rules of the Employee Retirement Income Security Act of 1974 (“ERISA”): Some Unresolved Questions
Chapter 2. Department of Labor, Amendment to Prohibited Transaction Exemption (PTE) 84-14 for Plan Asset Transactions Determined by Independent Qualified Professional Asset Managers (70 FR 49305)(August 23, 2005)
Chapter 3. Department of Labor, Proposed Amendment to Prohibited Transaction Exemption (PTE) 84-14 for Plan Asset Transactions Determined by Independent Qualified Professional Asset Managers (70 FR 49312)(August 23, 2005)
Chapter 4. Hedge Funds and the ERISA Plan Asset Regulation
Chapter 5. LM-10 Reporting Veni, Vidi, Vicci
Chapter 6. Tensions Between ERISA and Securities Laws for Fiduciaries of 401(k) Plans
Chapter 7. Current Issues in VCOC and REOC Investments
Chapter 8. Counterparty Risk in Credit-Based Transactions with PBGC-Insured Defined Benefit Plans
Chapter 9. UBTI: A Primer for the ERISA Lawyer
Chapter 10. Fiduciary Litigation Under ERISA
Chapter 11. Survey of Certain Recent Cases Involving Allegations of Fiduciary Breaches Regarding the Investment of Employer Stock
Chapter 12. Excise Tax on Prohibited Transactions and Related Ethical Considerations
Chapter 13. “Inadvertent Fiduciaries”
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