| ERISA Fiduciary Investment Basics 2012 TOC |
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| Chapter 1: The ERISA Basics |
Ira G. Bogner ~ Proskauer Rose LLP
Robert J. Raymond ~ Cleary Gottlieb Steen & Hamilton LLP
Sarah E. Downie ~ Orrick, Herrington & Sutcliffe LLP
Michael J. Albano ~ Cleary Gottlieb Steen & Hamilton LLP
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| Chapter 2: Fiduciary Responsibility Provisions: Highlights of Part 4 of Title I of ERISA |
Alicia C. McCarthy ~ Debevoise & Plimpton LLP
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| Chapter 3: Summary of ERISA Prohibited Transaction Exemptions for FI Corporate and Investment Bank ("FI") |
Patrick S. Menasco ~ Steptoe & Johnson LLP
Erin K. Cho ~ Davis Polk & Wardwell LLP
Suzzanne Yao ~ Vice President and Associate General Counsel, Goldman, Sachs & Co.
Michael J. Albano ~ Cleary Gottlieb Steen & Hamilton LLP
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| Chapter 4: DC Plan Considerations |
Kathleen Ziga ~ Dechert LLP
Karen W. Scheffler ~ Troutman Sanders LLP
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| Chapter 5: Fiduciary Exception to the Attorney-Client Privilege |
Linda J. Haynes ~ Seyfarth Shaw LLP
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| Chapter 6: Ethical Rules for the ERISA Attorney |
Javier Hernandez ~ Curtis, Mallet-Prevost, Colt & Mosle LLP
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| Chapter 7: Identifying the Client: Understand the Plan Governance Structure |
Howard Pianko ~ Seyfarth Shaw LLP
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| Chapter 8: Index to ERISA Fiduciary Investment Basics 2012 |
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