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Posts in Retirement Plan Advisory

Seismic Shift for Fiduciary Liability

April 24, 2012
Scott Tuxbury

In Thailand, a few years back, the ocean withdrew a couple hundred yards off shore, exposing the ocean floor for everyone to see. While some understood what was going on, there are pictures from that day showing [...]

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The New Regulation 408(b)(2): More of the Same?

March 27, 2012
Scott Tuxbury

Last year, I wrote to our blog’s readers to explain the then “interim final” Regulation 408(b)(2), a rule created by the Department of Labor (DOL) under the Employee Retirement Income Security Act of 1974 (ERISA). [...]

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Fiduciary Responsibility – The Year in Review

December 28, 2011
Scott Tuxbury

As 2011 comes to an end, I would like to reflect on all the changes being implemented or proposed to the retirement plan industry, addressing what concerns me most and a question I have been stuck on lately: Are plan sponsors ready? [...]

 

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