The Fiduciary Institute is a full-day program that examines best practices in plan governance and prudent fiduciary oversight. Plan fiduciaries continually face new attacks on their governance and fiduciary processes. These include private class actions, expanded governmental and financial audits, and an always-shifting regulatory environment. Government regulators, in-house fiduciaries, investment professionals, and experienced ERISA attorneys will discuss evolving fiduciary governance best practices in light of these varied pressures. Panels will include updates on significant ERISA fiduciary court cases and regulatory developments, best practices for investment fiduciaries and for vendor selection and oversight, the evolving world of health care fiduciary considerations, and more. New this year, the Fiduciary Institute is being held adjacent to the Employee Benefits Spring Update.
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