Retirement Income Team Newsletter: October 2012
Client Alert
Our newsletters address legal issues faced by retirement industry service providers – insurance companies, mutual funds, banks and trust companies, investment advisers, broker-dealers, third-party administrators and record-keepers – as well as by plan sponsors and fiduciaries. They also provide timely and valuable information regarding recent or expected regulatory developments and industry trends.
The material contained in this communication is informational, general in nature and does not constitute legal advice. The material contained in this communication should not be relied upon or used without consulting a lawyer to consider your specific circumstances. This communication was published on the date specified and may not include any changes in the topics, laws, rules or regulations covered. Receipt of this communication does not establish an attorney-client relationship. In some jurisdictions, this communication may be considered attorney advertising.