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DOL's Conflicts of Interest Rule: the Impact on Plan Sponsors

Multnomah Group

July 26, 2016
Recorded Online

Presentation slides

Presented by Bonnie Treichel, J.D.
Senior Consultant with Multnomah Group

The Department of Labor published its highly-anticipated Conflict of Interest Rule and regulatory package on April 8, 2016. This sweeping regulatory package expands the scope of the “fiduciary” definition for those who provide investment advice to employers and employees in workplace retirement plans and to individual retirement accounts (IRAs).

Tune in to this webinar to learn more from Bonnie Treichel about this new rule and the way it will affect employers and various service providers in the retirement plan marketplace.

Participants will come away with an understanding of the following:

  • Overview of the rule;
  • The rule's anticipated impact on plan sponsors;
  • Methods by which industry players are addressing this sweeping regulation; and
  • The timeline for compliance.

The webinar will conclude with a short Question-and-Answer.

More Information, How to Register

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