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Financial Services ERISA

Overview

We represent financial services companies that provide investments and services to retirement plans and IRAs. We understand the challenges that providers in this space face, and we deliver advice and strategies that are grounded in how governing laws and regulatory practices impact your business operations and bottom line. We help you anticipate and proactively manage compliance issues related to reporting and disclosure, prohibited transactions and fiduciary compliance. We represent bundled providers and independent recordkeepers, broker-dealers, registered investment advisory firms, investment managers, banks and trust companies, insurance companies, mutual fund and other investment entities, and third-party administrators. We provide individual counseling, send timely and informative client alerts, hold regular client briefings and design customized training sessions to keep you abreast of important developments in the law, and we understand how those changes impact your organization or business.

Insights & Events

Insights
Media Mentions November 2025

Fred Reish and Brad Campbell Discuss DOL’s Changing Priorities With InsuranceNewsNet

1 min read
Media Mentions October 2025

Brad Campbell Comments on The Government Shutdown’s Effects on DOL With Pensions and Investments

1 min read
Published Articles October 2025

The DOL’s Focus on Conflicts of Interest (Part 2)

Journal of Pension Benefits
1 min read
Media Mentions September 2025

Brad Campbell Discusses 401(k) Litigation With Wall Street Journal

1 min read
Media Mentions August 2025

Brad Campbell and Fred Reish Discuss ‘Trump Baby Accounts’ With Insurance News Net

1 min read
Updates August 2025

Presidential Order Instructs Regulators to Help Facilitate 401(k) Access to Alternative Asset Investments, Including Private Equity and Private Credit

Builds on Existing Regulatory Momentum; Collective Trusts and Closed-End Funds Expected to Play Key Roles in Facilitating Access for Plan Investors
16 min read
Updates August 2025

Thinking ESOPs: The Truth About ‘Conflicts’ Under ERISA

Anderson, et al. v. Intel Corp. Investment Policy Committee, et al., No. 22-16268 (9th Cir. May 22, 2025)
3 min read
Media Mentions July 2025

Fred Reish Comments on ERISA Litigation in Wealth Management

1 min read
Published Articles July 2025

The DOL’s Focus on Conflicts of Interest (Part 1): Householding Accounts and Recommending Affiliate Funds

1 min read
Media Mentions July 2025

Fred Reish Comments on Potential of Private Assets in 401(k) Investments in CNBC

1 min read