Be Part of the Ultimate Safety & Compliance Community
Trending news, knowledge-building content, and more – all personalized to you!
[Editor’s Note: The authority is revised effective September 23, 2024.][Change Notice] [New Text]
Authority: 29 U.S.C. 1002(1), 1002(2), 1002(3), 1002(5), 1002(16), 1002(21), 1002(37), 1002(38), 1002(40), 1002(42), 1002(43), 1002(44), 1031, and 1135; Secretary of Labor's Order No. 1-2011, 77 FR 1088 (Jan. 9, 2012); Sec. 2510.3-101 and 2510.3-102 also issued under sec. 102 of Reorganization Plan No. 4 of 1978, 5 App. (E.O. 12108, 44 FR 1065 (Jan. 3, 1979)) and 29 U.S.C. 1135 note. Sec. 2510.3-38 is also issued under sec. 1, Pub. L. 105-72, 111 Stat. 1457 (1997).
§2510.3-2 Employee pension benefit plan.
§2510.3-3 Employee benefit plan.
§2510.3-16 Definition of “plan administrator.”
§2510.3-21 Definition of “Fiduciary.”
§2510.3-37 Multiemployer plan.
§2510.3-38 Filing requirements for State registered investment advisers to be investment managers.
§2510.3-44 Registration Requirement to Serve as a Pooled Plan Provider to Pooled Employer Plans
§2510.3-101 Definition of “plan assets”—plan investments.
§2510.3-102 Definition of “plan assets”—participant contributions.