Contributor Scott Simon wraps up his series on the ways insurance company recordkeepers can undermine a plan sponsor’s best intentions.
Contributor Scott Simon takes a deep dive into the ways plan sponsors may unwittingly expose plan participants to conflicts of interest.
Fiduciary buyers bear virtually all the legal responsibility, but it’s the nonfiduciary sellers that largely control them, argues contributor Scott Simon.
Contributor Scott Simon provides a blueprint for the best way to legally protect a plan sponsor when appointing a 3(38).
Contributor Scott Simon argues why he doesn’t think alternative investments are good choices for retirement plans.
Contributor Scott Simon argues that investment managers have clearly articulated investment philosophies. Here’s why.
Contributor Scott Simon examines one of the two lawsuits filed in September that could topple the new rule.
Contributor Scott Simon details two recent lawsuits filed against the SEC related to regulation best interest.