Donald J. Myers
Email: dmyers@morganlewis.com
- Washington, D.C.
-
1111 Pennsylvania Ave., NW
Washington, DC 20004-2541
Phone: 202.739.5666
Fax: 202.739.3000
Publications
| Date | Type | Title |
| 05/10/2012 | LawFlash/Client Alert | Department of Labor Releases Guidance on New Disclosure Rules |
| 05/07/2012 | Presentation | How Managed Account Program Sponsors and Managers can Navigate the New ERISA Section 408(b)(2) Disclosure Requirements, presented for the Money Management Institute Webinar Series |
| 02/08/2012 | LawFlash/Client Alert | Final DOL 408(b)(2) Disclosure Regulation |
| 02/02/2012 | LawFlash/Client Alert | DOL Releases Final 408(b)(2) Disclosure Regulation |
| 12/06/2011 | LawFlash/Client Alert | DOL Calls into Question Whether Boilerplate Indemnification Language in an IRA Brokerage Agreement Constitutes a Nonexempt Prohibited Transaction |
| 11/11/2011 | LawFlash/Client Alert | SEC Staff Grants No-Action Relief on Compliance with ERISA Disclosure Rule |
| 10/04/2011 | Outside Publication | Refining E-Delivery Of Retirement Plan Disclosure, Law360 |
| 09/21/2011 | LawFlash/Client Alert | DOL Announces Intent to Repropose Rule on Definition of "Fiduciary" |
| 09/15/2011 | LawFlash/Client Alert | DOL Releases Interim Guidance on Electronic Delivery of Participant-Directed Retirement Plan Disclosure |
| 12/09/2010 | Presentation | The Department of Labor’s Recent Flurry of Fiduciary Regulations: New Obligations for Plan Fiduciaries and Plan Service Providers
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| 10/26/2010 | LawFlash/Client Alert | DOL Releases Final Disclosure Regulations for Participant-Directed Individual Account Plans
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| 09/16/2010 | Presentation | Outsourcing Fiduciary Responsibility |
| 09/01/2010 | LawFlash/Client Alert | SEC Proposes Revisions to Mutual Fund Distribution Fees (Rule 12b-1) and Disclosure |
| 07/21/2010 | LawFlash/Client Alert | DOL Publishes Interim Final ERISA Regulation on Service Provider Disclosure Obligations |
| 07/15/2010 | LawFlash/Client Alert | Department of Labor Finalizes Conditions for Financial Institutions to Serve as QPAMs to Their In-House Plans |
| 07/06/2010 | LawFlash/Client Alert | Impact of Financial Reform Legislation on Employee Benefit Plans |
| 02/02/2010 | Presentation | The Retirement Riddle and the Role of the Advisor, presented at a Federated Investors Symposium, New York |
| 2010 | Outside Publication | ERISA Class Exemptions, Third Edition, with 2009 Cumulative Supplement (BNA) |
| 03/11/2009 | Presentation | Fiduciary Implications of the Market Crisis Webinar |