An indispensable guide to avoiding the legal and financial pitfalls and of retirement plan investment
While it has always been true that a well-staffed and managed investment committee is key to the success of a corporate retirement plan, in today's increasingly complex and litigious world it is also a matter of survival. But what constitutes a prudent investment committee selection and operating process? How should a committee be selected and governed? How much reliance should a committee place on outside consultants? Written by an author with extensive, in-the-trenches experience, this book provides complete answers to these and all vital questions concerning the creation, staffing and management of a highly-adept investment committee, along with expert advice and guidance on serving on an investment committee and ensuring that your 401(K) investment program is sound, efficient and in complete compliance.
Rocco DiBruno, AIFAR, CIMAR, is a managing director and director of the Thornburg Retirement Group at Thornburg Investment Management. He has over thirty years' experience working with financial advisors and plan sponsors in the retirement plan sales, consulting, marketing, and product development. Rocco received his Certified Investment Management AnalystR (CIMA) designation from the Investment Management Consultants Association and his Accredited Investment Fiduciary AnalystR (AIFA) designation from the Center for Fiduciary Studies. He is also a frequent industry speaker on retirement industry trends and fiduciary governance.
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