Larry Stadulis, at the ICI General Membership Meeting in Washington, says, “uncertainty is the key takeaway from my perspective. Proposed rules usually clearly address those practices they seek to eliminate. That is not the case here.”
George Michael Gerstein advises financial institutions on the fiduciary and prohibited transaction provisions of ERISA. As co-chair of the fiduciary governance group, he assists clients with tracking, and understanding, the numerous fiduciary developments at the federal and state levels, including the rules and regulations of governmental plans. He also advises clients with respect to the fiduciary duty implications of ESG investing.