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Fiduciary FAQs for Advisers (PDF)
Buck Link to more items from this source
[Guidance Overview]
Nov. 9, 2016
"The first set of FAQs from the DOL on the expanded fiduciary requirements focuses on the duties and responsibilities of investment providers who provide services to plans and participants. Plan sponsors will want to have a tangential understanding of this guidance for awareness of the disclosures and obligations that will soon arrive for their review."

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