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Securities Products of Insurance Companies in the Course of Regulatory Reform 2013 -- Pension Developments

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From the program: Securities Products of Insurance Companies in the Course of Regulatory Reform 2013

Recorded on: Jan. 25, 2013

Taken from the Web Program Securities Products of Insurance Companies in the Course of Regulatory Reform 2013 recorded January, 2013 in New York. Lecture Topics  [00:58:00] Pension Developments  [00:58:00] New DOL disclosure standards A new fiduciary standard Advice for participants Lifetime Income Options The purchase price of this segment includes the following article from the Course Handbook available ...

Pension Developments

Transcripts  Transcripts    

Recorded on: Jan. 25, 2013

JOAN E. BOROS: Before I introduce the next panel, the Pension Development, I do want to say, I spoke in my opening remarks about the Taleb book about randomness and uncertainty, and building a system that applies to it and addresses it. Well, that's what Jeff and I have done. We have such spectacular faculty that even if one gets caught in Newark and can't get over here, we have a panel member that can do the whole panel by himself. But if his comrade ...

ERISA Fiduciary Investment Basics 2013

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From the program: ERISA Fiduciary Investment Basics 2013

Released on: Feb. 20, 2013

This course provides an introduction to the basics of ERISA fiduciary law using a case-study vehicle, and is intended for lawyers seeking to solidify their understanding of the regulatory framework, to ensure that they have a full picture of the important issues to be addressed and to develop their analytical abilities.  In this year’s program, you will learn about the principal issues in ERISA’s regulation of plan investments ...

The Launch - Establishing a Plan Asset Fund

Transcripts  Transcripts    

Recorded on: Feb. 11, 2013

GRACE E. O'HANION: It's my pleasure to introduce you to the co-chairs of today's program, Michael Albano and Howard Pianko. Michael is a partner in Cleary Gottlieb Steen and Hamilton's New York office. His practice focuses on executive compensation and benefit matters, including disclosure, governance, taxation, design and negotiation of agreements and arrangements, as well as the executive compensation and benefits aspects of mergers and acquisitions, ...

Ethics

Transcripts  Transcripts    

Recorded on: Feb. 11, 2013

HOWARD PIANKO: OK. We're going to do the ethics part of the program by going back to the second panel. I'm going to resume my role as the Chief Investment Officer. And this hour I'm going to be talking to two different lawyers from the same firm. To my right is Glenn Butash and Linda Haynes. And they're going to be the counsel. I'm going to start off by thanking them for coming. And I really enjoyed meeting your two colleagues this morning. And we ...

ERISA Litigation

Transcripts  Transcripts    

Recorded on: Feb. 11, 2013

SPEAKER 1: --invite them up. But just to help save some time, it's on ERISA litigation, which is a new panel this year. And so it's Shannon Barrett from O'Melveny, Linda Haynes from Seyfarth, Javier Hernandez from Curtis, Mallet, and Sara Pikofsky from Jones Day. HOWARD PIANKO: What we're going to do in this panel is actually, we spent most of the day talking about investments that really relate to large defined benefit plans in the ERISA world-- ...

Luncheon Presentation

Transcripts  Transcripts    

Recorded on: Feb. 11, 2013

HOWARD PIANKO: I'm not going to take a lot of time with introductions. The people who are going to talk to us over lunch need no introductions. It's Melanie Nussdorf and Ivan Strasfeld, both of whom have been around, since I'm probably the same vintage, but won't admit it. We've been around since the beginning of ERISA. Melanie and Ivan were actually in government at that time. And the idea behind this session is just we have to sit back and get ...

The Plan Perspective

Transcripts  Transcripts    

Recorded on: Feb. 11, 2013

HOWARD PIANKO: Hi, everybody. We're going to pick up again. I'm sorry I missed the initial introductions this morning. I'm Howard Pianko. And we'll start us off on this panel. This panel is looking at the ERISA implications, picking up from the hedge fund study that was the first panel. But this panel will look at it from the point of view of the investor, of the plan investor. In this panel, I'm the chief investment officer. I think we're using ...

Understanding Basic Financial Institution Activities

Transcripts  Transcripts    

Recorded on: Feb. 11, 2013

MICHAEL J. ALBANO: OK. OK. So thank you, everyone. We're going to start the next session now. And just to introduce the speakers, we have Erin Cho, who is with Davis Polk, Erin Miner, who is with Credit Suisse, Patrick Menasco, who's at Steptoe, and Suzzanne Yao at Goldman Sachs. And this panel is going to deal with-- we talked a lot this morning about setting up the hedge fund and how the hedge fund manager is going to need to, as part of its strategy, ...

ERISA Controlled Group Liability for Private Equity Funds: Fully Covered or Over Exposed?

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Recorded on: Mar. 5, 2013

Taken from the briefing ERISA Controlled Group Liability for Private Equity Funds: Fully Covered or Over Exposed? recorded February, 2013. The presentation will focus on the court and administrative decisions addressing whether ERISA's controlled group liability provisions expose investment fund assets (including minority investments) to the pension plan liabilities of distressed portfolio companies. Lecture Topics [Total Time: ...

Pension Plan Investments 2013: Current Perspectives

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From the program: Pension Plan Investments 2013: Current Perspectives

Released on: Apr. 16, 2013

Experienced practitioners in the area of pension investment law, together with senior representatives of the Department of Labor, will give their perspectives and illuminate issues on current topics and recent developments. Continued statutory, regulatory, and market changes ensure a full agenda of new developments to be debated and analyzed by the panelists. The Dodd-Frank financial reform legislation brought a new regulatory structure for pension ...

Update on Regulatory Reform

Transcripts  Transcripts    

Recorded on: Apr. 10, 2013

ARTHUR H. KOHN: Ok, just, we'll quickly introduce the panelists and then turn the mic over to John to get us going. MARY E. ALCOCK: Is this me? ARTHUR H. KOHN: Yeah. To my immediate right is my colleague Mary Alcock. And John Valentine, formerly from BNY Mellon, currently, John Valentine LLC. He's off on his own, happily. And Suzzanne Yao from Goldman Sachs. John? JOHN W. VALENTINE: Sure. I'm going to be talking about the big picture for a little ...

Current Fiduciary Issues

Transcripts  Transcripts    

Recorded on: Apr. 10, 2013

SPEAKER: No break. There is no break. At the risk of my getting shot let me, on that note, introduce the panelists who are coming up. So do we have the panelists who are coming out? SPEAKER 2: Uh no. You're right here. You're going to be right here. SPEAKER: Alicia? SPEAKER 2: I will find her. Alicia is She's coming. She's here. SPEAKER: OK. So as I indicated earlier, our next panel is going to discuss in greater depth some of the issues that ...

Ethical Considerations

Transcripts  Transcripts    

Recorded on: Apr. 10, 2013

HOWARD PIANKO: Our last hour, we're going to go into ethical considerations for ERISA lawyers both outside lawyer and also the kind of questions that come up working in-house. We're really pleased to have Howard Shapiro with us. Howard, from Proskauer, is a litigator who many of us have heard of and worked with. And Liza LeAndre from Colgate-Palmolive is here to talk to us from the in-house perspective. I'll turn it over to-- who's starting? You? ...

A Look-back: Department of Labor, Prohibited Transaction Issues and Perspectives

Transcripts  Transcripts    

Recorded on: Apr. 10, 2013

GRACE E. O'HANLON: It's my pleasure to introduce you to the co-chairs of today's program. Arthur Kohn And Howard Pianko. Arthur is a partner in Cleary, Gottlieb, Steen, and Hamilton's New York office. His practice focuses on compensation and benefit matters, including executive compensation, pension compliance, and investment employment law, and related matters. Howard is a partner in Seyfarth Shaw's New York office. He advises plan investors on ...

DC Plan Developments

Transcripts  Transcripts    

Recorded on: Apr. 10, 2013

HOWARD PIANKO: We're going to switch over. There was some allusions, actually direct references to the prior panel to the world of defined contribution plans. And the next panel-- Patricia Kuhn from BlackRock on my right. Then right next to her-- Nick Waddles from Seyfarth. And we're going to switch over to the defined contribution world and look at the developments-- things that we're seeing from the ERISA fiduciary prospective with respect to DC ...

ERISA Benefits Litigation Answer Book

Answer Book  Answer Book

Published: April 2013

The 1974 enactment of the Employee Retirement Income Security Act (“ERISA”) brought to the federal courts an array of claims that had previously been decided under a patchwork of state and local laws. The many subsequent changes in employee retirement options and the resulting federal regulations have created a complex legal web for attorneys to navigate. The newly published ERISA Benefits Litigation Answer Book 2013 provides a comprehensive overview ...

Employment Law Yearbook 2013

Treatise  Treatise

Published: April 2013

This new 2013 edition of Employment Law Yearbook covers the most important issues facing today’s employers and employment law practitioners. In this tight employment market and amid the rapidly changing global economy, it is imperative that employers and employment law practitioners understand the legal implications of a wide range of workplace actions. Authored by Orrick, Herrington & Sutcliffe LLP’s Global Employment Law Practice Group, a nationally ...

Financial Firms as ERISA Plan Sponsors - The When, What and How of the QPAM Audit Requirement 2013 (Audio-only)

Audio Only On-Demand Web  Audio Only On-Demand Web    

Released on: May. 6, 2013

Taken from the briefing Financial Firms as ERISA Plan Sponsors - The When, What and How of the QPAM Audit Requirement recorded April, 2013.Starting in 2012 when a Department of Labor amendment of the Qualified Professional Asset Manager (“QPAM”) prohibited transaction class exemption became effective, a new requirement was imposed on financial firms when managing assets of ERISA plans they maintain for their own employees. These firms now must undergo ...

McCutchen

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Recorded on: May. 29, 2013

On April 16, the Supreme Court decided the case of US Airways v. McCutchen. In McCutchen, the Supreme Court considered the question of whether reimbursement provisions in a self-funded employee welfare benefit plan governed by ERISA are required to be enforced as they are written. The answer was a resounding yes, continuing the Court's line of reasoning that focuses on what the ERISA plan documents say, and reinforcing the importance of ...

ERISA: The Evolving World 2013

Handbook  Course Handbook

Course Handbook from the program ERISA: The Evolving World 2013, held August, 2013.

Leveraged Buyouts: A Discussion with the Pension Benefit Guaranty Corporation 2013 (Audio-only)

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Released on: Aug. 14, 2013

Taken from the briefing Leveraged Buyouts: A Discussion with the Pension Benefit Guaranty Corporation recorded July, 2013.The Pension Benefit Guaranty Corporation recently announced that it will become more aggressive in leverage buyout transactions involving underfunded pension plans.  In a similar vein, in April, the PBGC initiated proceedings to terminate a pension plan in connection with Compagnie de Saint-Gobain’s sale of its U.S. metal ...

California Employment Law Update 2013

Seminar  SeminarWebcast  Webcast

PLI’s California Employment Law Update addresses the issues confronted by employment law advisers, litigators and human resources management and professionals, with particular emphasis on California State law considerations. This program combines a comprehensive review of case law and regulatory developments, an in-depth analysis of emerging issues, and practical guidance about best practices to maximize employment law compliance, mitigate legal risk ...

Hot Issues in Executive Compensation 2013

Seminar  SeminarWebcast  Webcast

As the economy shifts and the legislature, SEC and shareholders respond, the design, implementation and disclosure of executive compensation undergoes continual change. At this program, experts in the area - from major corporations, the SEC, the IRS and shareholder activist groups, as well as from leading law, and consulting firms - will lead you through the emerging best practices and the current reactions to the changing landscape.

Featured Faculty/Authors
Lisa J. Sotto

Lisa J. Sotto ~ Hunton & Williams LLP

David W. Pollak

David W. Pollak ~ Morgan, Lewis & Bockius LLP

Katie M. Lachter

Katie M. Lachter ~ Hinshaw & Culbertson LLP