EBSA Federal Register Documents
2015
- 07-14-2015 - Final Rule - Coverage of Certain Preventive Services Under the Affordable Care Act
- 06-18-2015 - Proposed Rule - Hearing on Definition of the Term “Fiduciary”; Conflict of Interest Rule-Retirement Investment Advice and Related Proposed Prohibited Transaction Exemptions
- 06-17-2015 - Notice - Proposed Extension of Information Collection Requests Submitted for Public Comment
- 06-17-2015 - Notice - Advisory Council on Employee Welfare and Pension Benefit Plans; Nominations for Vacancies
- 06-16-2015 - Final Rule - Summary of Benefits and Coverage and Uniform Glossary
- 05-06-2015 - Notice - 176th Meeting of the Advisory Council on Employee Welfare and Pension Benefit Plans; Notice of Meeting
- 05-04-2015 - Notice - Public Disclosure Room; Notice of Temporary Relocation
- 04-20-2015 - Proposed Rule - Proposed Amendments to Class Exemptions 75-1, 77-4, 80-83 and 83-1
- 04-20-2015 - Proposed Rule - Proposed Amendment to and Proposed Partial Revocation of Prohibited Transaction Exemption (PTE) 86-128 for Securities Transactions Involving Employee Benefit Plans and Broker-Dealers; Proposed Amendment to and Proposed Partial Revocation of PTE 75-1, Exemptions From Prohibitions Respecting Certain Classes of Transactions Involving Employee Benefits Plans and Certain Broker-Dealers, Reporting Dealers and Banks
- 04-20-2015 - Proposed Rule - Proposed Amendment to and Proposed Partial Revocation of Prohibited Transaction Exemption (PTE) 84-24 for Certain Transactions Involving Insurance Agents and Brokers, Pension Consultants, Insurance Companies and Investment Company Principal Underwriters
- 04-20-2015 - Proposed Rule - Proposed Amendment to Prohibited Transaction Exemption (PTE) 75-1, Part V, Exemptions From Prohibitions Respecting Certain Classes of Transactions Involving Employee Benefit Plans and Certain Broker-Dealers, Reporting Dealers and Banks
- 04-20-2015 - Proposed Rule - Proposed Class Exemption for Principal Transactions in Certain Debt Securities between Investment Advice Fiduciaries and Employee Benefit Plans and IRAs
- 04-20-2015 - Proposed Rule - Proposed Best Interest Contract Exemption
- 04-20-2015 - Proposed Rule - Definition of the Term “Fiduciary”; Conflict of Interest Rule-Retirement Investment Advice
- 04-15-2015 - Notice - Notice of Exemption Involving BNP Paribas, S.A. (BNP or the Applicant); Located in Paris, France
- 04-15-2015 - Notice - Proposed Exemptions From Certain Prohibited Transaction Restrictions
- 04-13-2015 - Notice - Exemptions From Certain Prohibited Transaction Restrictions
- 03-19-2015 - Final Rule - Fiduciary Requirements for Disclosure in Participant-Directed Individual Account Plans-Timing of Annual Disclosure
- 03-19-2015 - Proposed Rule - Fiduciary Requirements for Disclosure in Participant-Directed Individual Account Plans-Timing of Annual Disclosure
- 03-18-2015 - Final Rule - Amendments to Excepted Benefits