Advisory Opinions

Requests for interpretations and other rulings under Title 1 of ERISA are handled by the Office of Regulations and Interpretations under the provisions established by ERISA Procedure 76-1.  The office answers inquiries from individuals and organizations in the form of advisory opinions, which apply the law to a specific set of facts, or information letters, which merely call attention to well established principles or interpretations.

Data Dictionary

2005
AO/ Date/ Reference Recipient Description of Request
03/25/2005
406(b)

Ms. Norma M. Sharara
Buchanan Ingersoll, PC
1776 K Street, NW, Suite 800
Washington, DC 20006-2365

Whether a plan may invest in a mutual fund when one of the plan's trustees is the president, CEO, and significant shareholder of the mutual fund's investment advisor.

03/23/2005
2510.3-101
408(b)(2)

Frank C. Sabatino
Stevens & Lee
1818 Market Street – 29th Floor
Philadelphia, PA 19103

Application of the definition of a "related group of plans" for purposes of the wholly-owned exception of the plan assets regulation at 29 CFR 2510.3-101.

02/24/2005
103

Michael V. Conger
Robert A. Browning
Polsinelli Shalton Welte Suelthaus PC
700 West 47th Street, Suite 1000
Kansas City, MO 64112

Regarding the Schedule A (Form 5500) requirements for reporting fees and commissions paid to brokers, agents and other persons directly or indirectly attributable to policies or contracts placed or retained with or by an ERISA-covered employee benefit plan.

02/14/2005
3(32)

Neal B. Childers
General Counsel
Georgia Department of Community Health
2 Peachtree Street, NW
Atlanta, Georgia 30303-3159

Whether Georgia's Agricultural Commodities Commissions are "agencies" or "instrumentalities" of the State of Georgia so that inclusion of their employees would not adversely affect the status of Georgia's State Health Benefit Plan as a "governmental plan" within the meaning of section 3(32) of ERISA.

2004
AO/ Date/ Reference Recipient Description of Request
12/30/2004
3(33)

Lauren B. Licastro, Esq.
Morgan, Lewis & Bockius, LLP
One Oxford Centre
Pittsburgh, Pennsylvania 15219-6401

Whether the Pittsburgh Mercy Health System Cash Accumulation Plan, the Pittsburgh Mercy Health System 401(k) Savings Plan, and the Mercy Life Center Corporation Pension Plan are "church plans" within the meaning of section 3(33) of ERISA, that are excluded from Title I coverage by ERISA section 4(b)(2).

12/30/2004
3(1)

Richard Brickson
May Department Stores Company
Office of Legal Counsel
611 Olive Street, Suite 1750
St. Louis, MO 63101

Whether the May Department Store Company’s vacation pay program is an "employee welfare benefit Plan "within the meaning of section 3(1) of ERISA.

 
12/03/2004
4975(c )

Thomas G. Schendt, Esq.
Alston & Bird LLP
601 Pennsylvania Avenue, N.W.
North Building, 10th Floor
Washington, DC 20004-2601

Concerning the application of the prohibited transaction provisions under section 4975(c) of the IRC, to certain contributions to health savings accounts.

07/02/2004
3(1)

Mr. Barry V. Frederick
Wiggins Childs Quinn & Pantazis
301 19th Street North
Birmingham, AL 35203

Whether the Denny's, Inc. Vacation Pay Plan is an "employee welfare benefit plan" within the meaning of section 3(1) of ERISA.

07/01/2004
412

William A. Mrozowski
President and Chief Executive Officer
First Commonwealth Trust Company
614 Philadelphia Street
Indiana, PA 15701-0400

Non-depository, state chartered trust company that is a wholly-owned subsidiary of a bank holding company and is subject to regular examination and supervision by the Federal Reserve System, is exempt from certain bonding requirements in section 412 of ERISA.

06/21/2004
3(1)

Ms. Lisa Belenky
Lewis & Feinberg, P.C.
436 14th Street, Suite 1505
Oakland, California 94612-2703

Whether a program established by SEIU Local 616 to provide a small monetary payment to beneficiaries of deceased members is a "remembrance fund" within the meaning of 29 C.F.R. § 2510.3-1(g), and, therefore, exempt from coverage under Title I of ERISA.