In the Press
January 2, 2024

Investments in Brokerage Windows: Understanding Fiduciary Responsibilities Under ERISA Section 404(c) (Benefits Law Journal)

In the Benefits Law Journal, ERISA Litigation partner Alison Douglass and ERISA & Executive Compensation partner Bibek Pandey explain that Section 404(c) of the Employee Retirement Income Security Act of 1974 and the U.S. Department of Labor’s regulations are clear that a fiduciary’s investment responsibilities extend only to designated investment alternatives.