Course Handbook   Course Handbook

Pension Plan Investments 2012

Publication Date: April 2012 Number of Volumes: 1
ISBN Number: 9781402417634 Page Count: 658 pages

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Download: Table of Contents   Index

Pension Plan Investments 2012 TOC
Chapter 1: Current Developments at the DOL Relating to Structured Finance Bronislaw E. Grala ~ Cadwalader, Wickersham & Taft LLP
Chapter 2: Notice of Proposed Exemption; BlackRock, Inc. and Its Investment Advisory, Investment Management and Broker-Dealer Affiliates and Their Successors (Applicants): Located in New York, NY Bronislaw E. Grala ~ Cadwalader, Wickersham & Taft LLP
Chapter 3: The Department of Labor, Futures & ERISA Bronislaw E. Grala ~ Cadwalader, Wickersham & Taft LLP
Chapter 4: Last Year at the Labor Department Melanie Franco Nussdorf ~ Steptoe & Johnson LLP
Chapter 5: ERISA Considerations When Managing a Plan Asset Look-Through Hedge Fund David M. Cohen ~ Schulte Roth & Zabel LLP
Chapter 6: Prime Brokerage Agreements with Plan Assets Hedge Funds Alicia C. McCarthy ~ Debevoise & Plimpton LLP
Chapter 7: Implications of AFTRA v. JPMorgan Chase Arthur H. Kohn ~ Cleary Gottlieb Steen & Hamilton LLP
Chapter 8: Fiduciary Litigation Under ERISA Robert N. Eccles ~ O'Melveny & Myers LLP
Gary S. Tell ~ O'Melveny & Myers LLP
Chapter 9: Survey of Certain Reported Subprime Cases and Certain Related Litigation Andrew L. Oringer ~ Dechert LLP
Chapter 10: Survey of Certain Recent Cases Involving Allegations of Fiduciary Breaches Regarding the Investment of Employer Stock Andrew L. Oringer ~ Dechert LLP
Chapter 11: Recent Developments Target Date Funds and Stable Value Funds Patricia Anne Kuhn ~ Managing Director, Legal & Compliance, BlackRock, Inc.
Chapter 12: Final Rule: Reasonable Contract or Arrangement Under Section 408(b)(2) -- Fee Disclosure, 29 CFR Part 2550 (Jan. 25, 2012) Diane V. Dygert ~ Seyfarth Shaw LLP
Chapter 13: "May Affect the Exercise of Such Fiduciary's Best Judgment as a Fiduciary": 2012 Update Mary E. Alcock ~ Cleary Gottlieb Steen & Hamilton LLP
Chapter 14: Pension Plan Investments 2012: Securities Lending Andrew L. Gaines ~ Paul, Weiss, Rifkind, Wharton & Garrison LLP
Chapter 15: Trading Swaps with Plans Under the CFTC's Final Business Conduct Rules Alan S. Wilmit ~ Managing Director & Associate General Counsel -- Legal Director, ERISA and Benefits, Goldman, Sachs & Co.
Suzzanne Yao ~ Vice President and Associate General Counsel, Goldman, Sachs & Co.
Chapter 16: Index to Pension Plan Investments 2012
Course Handbook from the program Pension Plan Investments 2012, held April, 2012.
Co-Chair(s)
Arthur H. Kohn, Cleary Gottlieb Steen & Hamilton LLP
Howard Pianko, Seyfarth Shaw LLP
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