Administration | December 15th, 2017 Evolving Cybersecurity Landscape Pressures Plan Sponsors In the years ahead, Corporate Insight expects a very strong focus on the issue of cybersecurity among retirement plan providers...
Compliance | December 14th, 2017 EBSA Nominee Rutledge Advances Through Senate Help Committee Preston Rutledge seems to be enjoying relatively little opposition as he moves closer to becoming the Assistant Secretary of Labor...
Compliance | December 13th, 2017 IRI Warns Conflict of Interest Reforms Could Discourage Annuity Use Investors are generally capable of looking out for their own interests and should have freedom of access to shop the...
Compliance | December 8th, 2017 Excessive Fee Suit Targeting Fujitsu Results In Sizable Settlement The lawsuit contended that among defined contribution plans with more than $1 billion in assets, the average plan has costs...
Compliance | December 6th, 2017 CenturyLink Faces ERISA Lawsuit on Custom Large Cap Fund Design The complaint seeks to state a claim—without relying on hindsight—by arguing the underperformance of a large cap fund was “virtually...
Compliance | December 6th, 2017 Court Decision in PBGC Suit Shows Sponsors Have Ultimate Fiduciary Liability “IHI cannot delegate fully its statutory responsibilities under ERISA,” a federal judge says in her opinion.
Data and Research | December 5th, 2017 Nearly Half of Sponsors Fail to Realize They Are Fiduciaries This is true for members of administrative and investment committees alike.
Compliance | December 4th, 2017 Union Fund Hit With Excessive Fee Suit Similar to many excessive fee lawsuits filed against single-employer plans, the complaint accuses a multiemployer plan of failing to leverage...
Compliance | December 1st, 2017 House Bill Seeks Expansion of Open MEPs, Aggressive Plan Designs Among other adjustments viewed as vital to the expansion of open multiple employer plans, the bill would remove the “one...
Compliance | November 30th, 2017 Investment Committee Quiz Reveals Fiduciary Knowledge Shortfall The results of a fiduciary primer quiz survey prove once again that institutional investing can be a tricky topic for...
Investing | November 29th, 2017 Argument for Auto-Enroll Emergency Savings The idea is relatively simple: workers who do not yet have emergency savings will be directed to first fund a...
Compliance | November 28th, 2017 Appeals Court Sides with UPMC in Top-Hat Plan Dispute A recent appellate court decision underscores the important differences in anti-cutback vesting requirements that exist between “top-hat” plans and retirement...
Compliance | November 22nd, 2017 Wells Fargo 401(k) Participant Files Excessive Fee, Self-Dealing Suit Throughout the complaint, the plaintiff alleges that the plan’s fiduciaries’ lack of a systematic and unbiased review process caused participants...
Investing | November 22nd, 2017 Experts Push for Sponsor Courage When Offering In-Plan Lifetime Income DOL leadership has stated explicitly that investments with lifetime income elements can be a prudent investment option in DC plans,...
Compliance | November 20th, 2017 DOL Reaches Triple Settlement With First Bankers Trust The DOL alleged in all three cases that the firm approved transactions without undertaking the due diligence required of an...
Compliance | November 13th, 2017 Franklin Templeton Faces Familiar Self-Dealing Allegations The suit alleges that defendants “breached their fiduciary duties by causing the plan to invest in funds offered and managed...
Compliance | November 9th, 2017 Fiduciaries of MEWA Barred for Failing to Pay Medical Claims Employer and employee contributions to the multiple employer welfare arrangement were found in offshore Bermuda accounts.
Compliance | November 3rd, 2017 DOL Fiduciary Rule Enforcement Delay Under Review at OMB Until the final rule’s publication in the Federal Register, the exact details and length of the second enforcement delay will...
Compliance | October 19th, 2017 The Current State of Retirement Plan Litigation Panelists at the 2017 PLANADVISER National Conference discuss the state of litigation in the retirement plan industry and lessons learned...
Compliance | October 18th, 2017 ERISA Suit Targeting MIT Partially Dismissed in District Court The district court decision spells out a number of caveats impacting this type of ERISA litigation, explaining why it is...