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PBGC Director Says Legislation Needed to Help Multiemployer Plans
The agency's Fiscal Year (FY) 2020 Annual Report shows its multiemployer insurance program will become insolvent sometime in FY 2026.
15th Anniversary of RPAY: Rita Fiumara
Rita Fiumara of UBS Financial Services Inc. is an early entrant into the retirement plan industry, having worked in the business since 1997.
Advisers Giving Back
Firms’ Efforts Show Local Pride
Celebrating the good works of advisers who give back to their communities in personal ways.
Publisher’s Note
What a Year!
With so many bigger issues facing the country, much has happened that almost seems unnoticed.
ERISA vista
The DOL’s Latest Proposed PTE
How advisers who only do rollovers would avoid prohibited transactions.
Compliance News
Legislative and Judicial Actions
The DOL presents its final ESG rule, IRS simplifies certain 403(b) plan terminations, and more.
Investment-Oriented
Sequence of Return Risk
There’s more participants should understand than just cutting back on equities.
Practice Management
Client Onboarding
How advisers can be sure to deliver all that new partners expect.
Trends
Tracking Part-Timers’ Hours
How they count hours, implement cash-outs and find missing participants are some of the processes plan sponsors need to review for the SECURE Act’s new requirement.
Cover Story
Value Judgment
How to best assess an advisory firm’s worth for a merger or an acquisition.
Winners’ Circle
Retirement-Plus
For these versatile past Advisers of the Year, the plan is just the beginning.
Retirement Industry People Moves
Advisor Group and Securities America recruit Gaulden & Associates; NTSA hires executive director; retirement services SVP joins PlanMember; and more.
DOL Issues Final Rule on Proxy Voting and Shareholder Rights
The final regulation includes delayed compliance dates to January 31, 2022, for certain recordkeeping and proxy voting requirements.