| Pension Plan Investments 2013 TOC |
|
|
| Chapter 1: U.S. Department of Labor's Proposed New Criteria for Qualification As a "Rating Agency" in Connection with the Underwriter Exemptions |
Bronislaw E. Grala ~ Cadwalader, Wickersham & Taft LLP
James S. Frazier ~ Cadwalader, Wickersham & Taft LLP
|
|
| Chapter 2: Last Year at the Labor Department |
Melanie Franco Nussdorf ~ Steptoe & Johnson LLP
|
|
| Chapter 3: Outline Concerning Selected Fiduciary Issues |
Arthur H. Kohn ~ Cleary Gottlieb Steen & Hamilton LLP
|
|
| Chapter 4: Considerations in De-Risking Pensions |
Alicia C. McCarthy ~ Debevoise & Plimpton LLP
|
|
| Chapter 5: Recent Developments in Defined Contribution Plan Investment Alternatives--Lifetime Income Options and Stable Value |
Patricia Anne Kuhn ~ Managing Director, Legal & Compliance, BlackRock, Inc.
|
|
| Chapter 6: Fiduciary Litigation Under ERISA |
Robert N. Eccles ~ O'Melveny & Myers LLP
Shannon Barrett ~ O'Melveny & Myers LLP
|
|
| Chapter 7: Dodd-Frank Changes Fiduciary Oversight and Duties |
John W. Valentine ~ Principal, Valentine Law LLC
|
|
| Chapter 8: Professional Responsibility and the ERISA Lawyer |
Glenn E. Butash ~ Corporate Counsel, Compensation & Benefits, Alcatel-Lucent
|
|
| Chapter 9: Fee Disclosure Rules--Service Provider to Fiduciary and Fiduciary to Participants (PowerPoint Slides) |
Nicholas J. Waddles ~ Seyfarth Shaw LLP
|
|
| Chapter 10: Ethical Issues for ERISA Lawyers (PowerPoint Slides) |
Howard Shapiro ~ Proskauer Rose LLP
|
|
| Chapter 11: Index to Pension Plan Investments 2013 |
|
|