Fiduciary Training and Retirement Industry Designations

Fiduciary education is an important topic at any time but seems to be garnering further attention in recent months. Rumor has it that questions about training are being asked of in-house fiduciaries during U.S. Department of Labor audits. According to …

Dr. Susan Mangiero Recognized by CFA Institute for Commitment to Continuing Education

Dr. Susan Mangiero is recognized by the CFA Institute for her twenty-five consecutive years of continuing education in the investment management field. This includes an ongoing review of ethical and professional standards about fair dealing, suitability, reasonableness of fees, disclosure …

Investment Fraud and the Role of Trust

Investment fraud can happen to anyone, and unfortunately, there is no shortage of investment fraud possibilities. Affinity fraud, pyramid schemes, pump-and-dump security trading, high-return or risk-free investments, and pre-IPO scams are only a few of a long-list of schemes that …

Investment Committee Governance Benchmarking

If you missed the Strafford continuing legal education webinar on September 12, click here to download the slides about ERISA investment committee governance. The ninety minutes flew by, with each speaker having lots to say. Attorney Emily Seymour Costin addressed …

Pension Risk Management for Retirement Plans

I’m delighted to work with the Professional Risk Managers’ International Association (“PRMIA”) in delivering four (4) educational webinars about retirement plan risk management. According to its website, PRMIA is a “non-profit professional association” with forty-five chapters in various countries around …