Expert Q&A on the DOL's New Fiduciary Investment Advice Rule | Practical Law
An Expert Q&A with Andrew L. Oringer of Dechert LLP discussing the Department of Labor’s (DOL’s) long-anticipated final rule that expands the definition of fiduciary investment advice under ERISA and its sweeping consequences for investment advisers and brokers who make recommendations about the investment or management of retirement plan and IRA assets.