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Code of Federal Regulations Pertaining to U.S. Department of Labor |
| Labor |
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| Pension and Welfare Benefits Administration, Department of Labor |
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| Procedural Regulations Under the Employee Retirement Income Security Act |
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| Subpart B | Procedures for Filing and Processing Prohibited Transaction Exemption Applications |
Sec.
Name
Scope of rules.
Definitions.
Persons who may apply for exemptions.
Applications the Department will not ordinarily consider.
Information to be included in every exemption application.
Information to be included in applications for individual exemptions only.
Where to file an application.
Duty to amend and supplement exemption applications.
Tentative denial letters.
Opportunities to submit additional information.
Conferences.
Final denial letters.
Notice of proposed exemption.
Notification of interested persons by applicant.
Withdrawal of exemption applications.
Requests for reconsideration.
Hearings in opposition to exemptions from restrictions on fiduciary self-dealing.
Other hearings.
Decision to grant exemptions.
Limits on the effect of exemptions.
Revocation or modification of exemptions.
Public inspection and copies.
Effective date.
Source: 55 FR 32847, Aug. 10, 1990, unless otherwise noted.