ERISA Fiduciary Rules: Business Considerations, Action Steps and Opportunities [Webinar]

April 23, 2013

Tuesday | April 23, 2013 | 1:00 p.m. - 2:00 p.m. ET

Listen to Recorded Webinar

What does it mean to be an ERISA fiduciary? Does an advisor need to be a fiduciary to be successful in the retirement plan industry? How will regulatory mandates, economic uncertainty and dwindling retirement confidence among the U.S. workforce affect America’s retirement plans?

These questions should be top of mind for advisors and brokers looking to succeed in today’s ever changing regulatory environment. Understanding these issues and being able to adapt and structure your businesses with additional tools and provide support to help the plan sponsor with their fiduciary responsibility will likely provide a significant opportunity to seize new assets and grow your retirement plan business.

Join us for this informative webinar, which will focus on:

  • What it means to be an advisor acting as a fiduciary;
  • What are advisors’ responsibilities if they are fiduciaries;
  • What action steps can be taken to succeed; and
  • How to take advantage of these changes to succeed.
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