PTE 2011-17 BlackRock, Inc. and Its Investment Advisory, Investment Management and Broker-Dealer Affiliates and Their Successors (Applicants) [Application No. D–11588]

 
Docket ID: EBSA-2011-0014
Agency: Employee Benefits Security Administration (EBSA)
Parent Agency: Department of Labor (DOL)
Summary:
This document contains an individual exemption from certain prohibited transaction restrictions of the Employee Retirement Income Security Act of 1974, as amended (ERISA), the Federal Employees’ Retirement System Act of 1986, as amended (FERSA), and the Internal Revenue Code of 1986, as amended (the Code). The transactions involve BlackRock, Inc. and its investment advisory, investment management and broker-dealer affiliates and their successors. The individual exemption affects plans for which BlackRock, Inc. and its investment advisory, investment management and broker-dealer affiliates and their successors serve as fiduciaries, and the participants and beneficiaries of such plans.
Docket Details open glossary dialog  
Related RINs: None
Related Dockets: None
Type: Nonrulemaking
 

Primary Documents

View All  (2)
Comment Period Closed
Notice
Posted: 08/17/2011
ID: EBSA-2011-0014-0002
Comment Period Closed
Notice
Posted: 06/27/2011
ID: EBSA-2011-0014-0001

Supporting Documents

 
No documents available.

Comments

 
No comments posted.

0
Comments Received*
*This count refers to the total comment/submissions received on this docket, as of 11:59 PM yesterday. Note: Agencies review all submissions, however some agencies may choose to redact, or withhold, certain submissions (or portions thereof) such as those containing private or proprietary information, inappropriate language, or duplicate/near duplicate examples of a mass-mail campaign. This can result in discrepancies between this count and those displayed when conducting searches on the Public Submission document type. For specific information about an agency’s public submission policy, refer to its website or the Federal Register document.