left-caret
All Insights

Client Alerts

SEC to Pension Consultants: "We Are Watching"

May 15, 2005

By Joshua H. Sternoff

    Share

  • linkedIn
  • twitter
  • facebook

On May 16, 2005, the Securities and Exchange Commission’s Office of Compliance Inspections and Examinations issued a report highlighting conflicts of interest in the pension consulting industry that call into question the independence of the advice pension plans receive from their investment consultants.

Click here for a PDF of the full text

READ NEXT

National Law Journal - China has stepped up IP Enforcement Recently

May 9, 2005

Contributors

Image: Joshua H. Sternoff
Joshua H. Sternoff
Partner, Corporate Department
Email
1(212) 318-6011

Practice Areas

Investment Management
Global Compensation, Benefits, and ERISA
Employment Law

Get In Touch With Us

Contact Us

Professionals

Practices

Insights & Resources

Client AlertsFedAction: Financial Regulatory UpdatesInternational Regulatory Enforcement (PHIRE)PH PrivacyPractice Area ArticlesRapid Rulemaking: SEC UpdateUpcoming EventsCOVID-19 ResourcesDiversity and Inclusion InsightsPodcasts

About

NewsPress CenterSocial ResponsibilityDiversity and Inclusion InsightsRecognitionsConsolidated Appropriations Act, 2021(CAA) Machine Readable FilesLocationsContact Us
CB6A0679-7CD4-47AB-9AF9-079521319001Created with sketchtool.29E2725A-0EC4-4AA5-A6B4-D45997D1A717Created with sketchtool.BC42128A-F0DE-4FE2-9372-6CDE6D4F5957Created with sketchtool.
Copyright © 2023 Paul Hastings, LLP. All rights reserved.
SitemapLegal NoticesGlobal Privacy Statement