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» Default Investment Alternatives Under Participant Directed Individual Account Plans
Default Investment Alternatives Under Participant Directed Individual Account Plans
Document ID:
EBSA-2007-0037-0001
Document Type:
Rule
Agency:
Employee Benefits Security Administration
Topics:
Employee Benefit Plans, Exemptions, Fiduciaries, Investments, Pensions, Prohibited Transactions, Real Estate, Securities, Surety Bonds, Trusts and Trustees
Federal Register Number:
07-05147
CFR Citation:
29 CFR 2550
View Document:
Details Information
Document Subtype:
Final Rule
Received Date:
October 24 2007, at 07:09 AM Eastern Daylight Time
Start-End Page:
60451 - 60480
Page Count:
30
Comment Start Date:
October 24 2007, at 12:00 AM Eastern Standard Time
Comments
Total:
0
No comments posted.
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Statutory Exemption for Cross-Trading of Securities
Selection of Annuity Providers--Safe Harbor for Individual Account Plans
Investment Advice--Participants and Beneficiaries
Fiduciary Requirements for Disclosure in Participant-Directed Individual Account Plans
Default Investment Alternatives Under Participant Directed Individual Account Plans
Hearing on Reasonable Contracts or Arrangements Under Section 408(b)(2)--Fee Disclosure
Reasonable Contract or Arrangement Under Section 408(b)(2)--Fee Disclosure
Selection of Annuity Providers for Individual Account Plans
Fee and Expense Disclosures to Participants in Individual Account Plans
Statutory Exemption for Cross-Trading of Securities
Default Investment Alternatives Under Participant Directed Individual Account Plans
Termination of Abandoned Individual Account Plans
Default Investment Alternatives Under Participant Directed Individual Account Plans
Details Information
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