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Brokers are in a legal quandary: Many of them will still be fiduciaries under the 1975 Rule, but the third-party compensation they received will no longer be permitted.
By Brad Campbell and Josh WaldbeserJune 21 -
It is widely anticipated that the March 15 ruling will soon take effect, restoring the DOL’s 1975 regulation defining fiduciary investment advice to plan and IRA investors.
By Joshua J. Waldbeser and Brad CampbellMay 24

