The Fiduciary Year in Review
December 03, 2015
The Fiduciary Year in Review
Blaine F. Aikin, AIFA®, CFA, CFP®, CEO of fi360
Duane Thompson, AIFA®, Senior Policy Analyst at fi360
Thursday, December 10, 2015
3:00 PM - 4:00 PM EST
Live attendance qualifies for 1 hour of CE credit for the AIF®, AIFA®, and PPC™ Designations as well as the CFP® Certification.
SEC Chair Mary Jo White announces in March the agency will proceed with a fiduciary rulemaking and third-party outsourcing of some RIA exams. A month later the Department of Labor releases its revised fiduciary rule for comment. In May the Supreme Court confirmed the fiduciary duty to monitor plan investment options is not subject to ERISA’s six-year statute of limitations. These and other events of importance to investment fiduciaries promise to keep shaping the fiduciary standard in the New Year. Join fi360 CEO Blaine Aikin and senior policy analyst Duane Thompson as they reprise the past year and identify key events investment fiduciaries should watch for in 2016.
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