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Rules and Regulations for Fiduciary Responsibility
Law
CFR 29
Labor
Regulations Relating to Labor
Employee Benefits Security Administration, Department of Labor
Fiduciary Responsibility Under the Employee Retirement Income Security Act of 1974
Rules and Regulations for Fiduciary Responsibility
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Section
2550.401c-1
Definition of “plan assets” - insurance company general accounts.
Section
2550.403a-1
Establishment of trust.
Section
2550.403b-1
Exemptions from trust requirement.
Section
2550.404a-1
Investment duties.
Section
2550.404a-2
Safe harbor for automatic rollovers to individual retirement plans.
Section
2550.404a-3
Safe harbor for distributions from terminated individual account plans.
Section
2550.404a-4
Selection of annuity providers - safe harbor for individual account plans.
Section
2550.404a-5
Fiduciary requirements for disclosure in participant-directed individual account plans.
Section
2550.404b-1
Maintenance of the indicia of ownership of plan assets outside the jurisdiction of the district courts of the United States.
Section
2550.404c-1
ERISA section 404(c) plans.
Section
2550.404c-5
Fiduciary relief for investments in qualified default investment alternatives.
Section
2550.407a-1
General rule for the acquisition and holding of employer securities and employer real property.
Section
2550.407a-2
Limitation with respect to the acquisition of qualifying employer securities and qualifying employer real property.
Section
2550.407d-5
Definition of the term “qualifying employer security”.
Section
2550.407d-6
Definition of the term “employee stock ownership plan”.
Section
2550.408b-1
General statutory exemption for loans to plan participants and beneficiaries who are parties in interest with respect to the plan.
Section
2550.408b-2
General statutory exemption for services or office space.
Section
2550.408b-3
Loans to Employee Stock Ownership Plans.
Section
2550.408b-4
Statutory exemption for investments in deposits of banks or similar financial institutions.
Section
2550.408b-6
Statutory exemption for ancillary services by a bank or similar financial institution.
Section
2550.408b-19
Statutory exemption for cross-trading of securities.
Section
2550.408c-2
Compensation for services.
Section
2550.408e
Statutory exemption for acquisition or sale of qualifying employer securities and for acquisition, sale, or lease of qualifying employer real property.
Section
2550.408g-1
Investment advice - participants and beneficiaries.
Section
2550.408g-2
Investment advice - fiduciary election.
Section
2550.412-1
Temporary bonding requirements.