ERISA Regulation - An Overview - March 3, 2015

February 26, 2015

Partner Peter Haller spoke at the Regulatory Compliance Association’s ERISA session.

Peter Haller presented an ERISA overview at the Regulatory Compliance Association’s PracticeEdge session on March 3, a compliance training and development program.  Peter discussed:

  • Money market mutual fund reform and consequences to ERISA plans and IRAs
  • Recent Department of Labor QPAM exemptions for Credit Suisse and BNP Paribas

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