|
Subscribe to E-mail Updates
|
|
Content Last Revised: 4/21/2006 |
||
Code of Federal Regulations Pertaining to U.S. Department of Labor |
| Labor |
|
| Pension and Welfare Benefits Administration, Department of Labor |
|
|
| Rules and Regulations for Reporting and Disclosure |
|
|
|
| Subpart C | Annual Report Requirements |
Sec.
Name
Contents of the annual report.
Contents of the annual report for a group insurance arrangement.
Exemption from certain annual reporting requirements for assets held in a common or collective trust.
Exemption from certain annual reporting requirements for assets held in an insurance company pooled separate account.
Transmittal and certification of information to plan administrator for annual reporting purposes.
Definition of reportable transaction for Annual Return/Report.
Limitation on scope of accountant's examination.
Direct filing for bank or insurance carrier trusts and accounts.
Annual report financial schedules.
Assets held for investment purposes.
Limited exemption and alternative method of compliance for annual reporting of investments in certain entities.
Special terminal report for abandoned plans.
Source: 43 FR 10140, Mar. 10, 1978, unless otherwise noted.