How to Write an Investment Policy Statement

Paperback Engels 2013 2e druk 9781118679531
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An indispensable resource for every financial service professionals developing an IPS

 The Investment Policy Statement (IPS) is one of the most critical documents fiduciaries must draft. For years, ERISA and other industry regulations have governed the guidelines all fiduciaries must comply with when drafting one. But the current climate of corporate scandal and the 2008 global banking crisis have led to increased scrutiny by regulators, prompting firms to take a closer look at the quality and integrity of their IPSs and to take steps to have a rigorous formal process in place for drafting them. Endorsed by the Foundation of Fiduciary Studies, this concise guide provides a rigorous framework and the expert insight, information and guidance you need to guarantee that your IPS is in complete compliance with all ERISA–directed requirements.

Provides a step–by–step plan for creating a uniform IPS that every advisor in the office can follow
Defines the duties and responsibilities of all parties involved, while clarifying diversification guidelines and providing methods for keeping costs under control
Packed with ready–to–use templates, sample forms, letters and other documents, diagrams and other valuable tools, including sample Policy Statement downloadable at the companion website
Designed to get you quickly up to speed on what you need to know to confidently serve your clients with the highest standards of care and protection

Specificaties

ISBN13:9781118679531
Taal:Engels
Bindwijze:paperback
Aantal pagina's:80
Druk:2

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Inhoudsopgave

<p>Foreword by Don Trone 11</p>
<p>SECTION ONE: Why Plan Sponsors and All Fiduciaries Need a Formal Process for Writing Their Investment Policy Statement</p>
<p>Chapter 1 ERISA AND THE CHALLENGE OF FIDUCIARY RESPONSIBILITY 17</p>
<p>Writing an Investment Policy 17</p>
<p>What Is a Fiduciary?18</p>
<p>Fiduciary Liability19</p>
<p>Chapter 2 YOUR FIDUCIARY RESPONSIBILITIES AND LIABILITIES UNDER ERISA&nbsp; 21</p>
<p>Five Fiduciary Responsibilities 21</p>
<p>Fiduciary s Personal Liability 22</p>
<p>A Fiduciary s Primary Role Is to Manage the Process 23</p>
<p>Chapter 3 WHAT IS AN INVESTMENT POLICY STATEMENT AND WHAT ARE THE BENEFITS? 25</p>
<p>Risk Management 25</p>
<p>Monitor Investments 26</p>
<p>Summary 27</p>
<p>Chapter 4 UTILIZE THE SAFE HARBOR PROVISIONS PROVIDED BY ERISA 29</p>
<p>Prudent Experts 29</p>
<p>Five Recognized Safe Harbor Rules 29</p>
<p>Chapter 5 COMPLYING WITH ERISA SECTION 404(c)&nbsp; 31</p>
<p>SECTION TWO: How to Get Started and Steps to Formalize the Process</p>
<p>Chapter 6 ASSEMBLING THE DOCUMENTATION 35</p>
<p>Chapter 7 STEPS TO FORMALIZE THE PROCESS 37</p>
<p>STEP 1: Decide on Plan Goals, Objectives, and Strategies&nbsp;&nbsp;&nbsp; 37</p>
<p>STEP 2: Decide on Strategy for Managing Risk 37</p>
<p>STEP 3: Determine the Risk Tolerance of the Plan&nbsp;&nbsp; 38</p>
<p>STEP 4: Set Forth Guidelines for Asset Classes 39</p>
<p>STEP 5: Implement an Asset–Allocation Policy 39</p>
<p>STEP 6: Mutual Funds Recommendations&nbsp; 39</p>
<p>STEP 7: Delegate Investment Management Responsibility&nbsp;&nbsp;&nbsp; 40</p>
<p>STEP 8: Investment Monitoring and Reporting 40</p>
<p>SECTION THREE: The Template IPS</p>
<p>Chapter 8 SAMPLE IPS TEMPLATES 43</p>
<p>Two Distinct IPS Samples&nbsp; 43</p>
<p>Organization of Templates 43</p>
<p>Chapter 9 SAMPLE IPS TEMPLATE #1: For Participant–Directed 401(k) That Intends to Comply with ERISA Section 404(c) 458</p>
<p>STEP 1 Executive Summary and Background 45</p>
<p>STEP 2 Purpose of the Investment Policy Statement 46</p>
<p>STEP 3 Duties and Responsibilities 48</p>
<p>STEP 4 Asset Class Guidelines 50</p>
<p>STEP 5 Investment Manager Selection&nbsp;&nbsp;&nbsp; 52</p>
<p>STEP 6 Monitoring the Investment Managers 53</p>
<p>STEP 7 Controlling and Accounting for Investment Expenses 55</p>
<p>STEP 8 Investment Policy Review and Monitoring&nbsp;&nbsp; 56</p>
<p>Chapter 10 SAMPLE IPS TEMPLATE #2: For High–Net–Worth Individual Setting Up a Family Trust 57</p>
<p>Executive Summary 58</p>
<p>PART I Purpose 59</p>
<p>PART II Investment Management Objectives 59</p>
<p>PART III Roles and Responsibilities 60</p>
<p>PART IV Investment Manager Selection&nbsp; 61</p>
<p>PART V Investment Monitoring and Review 63</p>
<p>PART VI Manager Termination 65</p>
<p>PART VII Additional Provisions (optional)65</p>
<p>Conclusion</p>
<p>MESSAGE TO PLAN SPONSORS&nbsp; 67</p>
<p>Glossary 69</p>
<p>Appendix: The Firm Profile 77</p>
<p>About the Author 79</p>

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