{"abstract":"This document contains a notice of pendency before the Department of Labor of a proposed amendment to PTE 75-1, Part V, a class exemption from certain prohibited transactions provisions of the Employee Retirement Income Security Act of 1974 (ERISA) and the Internal Revenue Code (the Code). The provisions at issue generally prohibit fiduciaries of employee benefit plans and individual retirement accounts (IRAs), from lending money or otherwise extending credit to the plans and IRAs and receiving compensation in return. PTE 75-1, Part V, permits the extension of credit to a plan or IRA by a broker-dealer in connection with the purchase or sale of securities; however, it does not permit the receipt of compensation for an extension of credit by broker-dealers that are fiduciaries with respect to the assets involved in the transaction. The amendment proposed in this notice would permit investment advice fiduciaries to receive compensation when they extend credit to plans and IRAs to avoid a failed securities transaction. The proposed amendment would affect participants and beneficiaries of plans, IRA owners, and fiduciaries with respect to such plans and IRAs.","action":"Notice of Proposed Amendment to PTE 75-1, Part V.","agencies":[{"raw_name":"DEPARTMENT OF LABOR","name":"Labor Department","id":271,"url":"https://www.federalregister.gov/agencies/labor-department","json_url":"https://www.federalregister.gov/api/v1/agencies/271","parent_id":null,"slug":"labor-department"},{"raw_name":"Employee Benefits Security Administration","name":"Employee Benefits Security Administration","id":131,"url":"https://www.federalregister.gov/agencies/employee-benefits-security-administration","json_url":"https://www.federalregister.gov/api/v1/agencies/131","parent_id":271,"slug":"employee-benefits-security-administration"}],"body_html_url":"https://www.federalregister.gov/documents/full_text/html/2015/04/20/2015-08836.html","cfr_references":[{"chapter":null,"citation_url":null,"part":2550,"title":29}],"citation":"80 FR 22004","comment_url":null,"comments_close_on":"2015-07-06","correction_of":null,"corrections":[],"dates":"Comments: Written comments concerning the proposed class exemption must be received by the Department on or before July 6, 2015.","disposition_notes":null,"docket_ids":["Application Number D-11687"],"dockets":[{"supporting_documents":[],"agency_name":null,"documents":[{"comment_count":0,"comment_start_date":"2015-04-20","updated_at":"2023-02-28T20:11:55.893-05:00","comment_url":"https://www.regulations.gov/commenton/EBSA-2014-0016-0005","allow_late_comments":null,"id":"EBSA-2014-0016-0005","comment_end_date":"2015-09-25","regulations_dot_gov_open_for_comment":false}],"supporting_documents_count":0,"id":"EBSA-2014-0016","title":"Fiduciary - Conflict of Interest Exemptions"}],"document_number":"2015-08836","effective_on":null,"end_page":22010,"executive_order_notes":null,"executive_order_number":null,"full_text_xml_url":"https://www.federalregister.gov/documents/full_text/xml/2015/04/20/2015-08836.xml","html_url":"https://www.federalregister.gov/documents/2015/04/20/2015-08836/proposed-amendment-to-prohibited-transaction-exemption-pte-75-1-part-v-exemptions-from-prohibitions","images":{},"images_metadata":{},"json_url":"https://www.federalregister.gov/api/v1/documents/2015-08836?publication_date=2015-04-20","mods_url":"https://www.govinfo.gov/metadata/granule/FR-2015-04-20/2015-08836/mods.xml","not_received_for_publication":null,"page_length":7,"page_views":{"count":700,"last_updated":"2026-06-23 22:15:03 -0400"},"pdf_url":"https://www.govinfo.gov/content/pkg/FR-2015-04-20/pdf/2015-08836.pdf","presidential_document_number":null,"proclamation_number":null,"public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2015-08836.pdf?1429110919","publication_date":"2015-04-20","raw_text_url":"https://www.federalregister.gov/documents/full_text/text/2015/04/20/2015-08836.txt","regulation_id_number_info":{},"regulation_id_numbers":[],"regulations_dot_gov_info":{"supporting_documents":[],"comments_count":0,"agency_id":"EBSA","comments_url":"https://www.regulations.gov/docketBrowser?rpp=50&so=DESC&sb=postedDate&po=0&dct=PS&D=EBSA-2014-0016","supporting_documents_count":0,"docket_id":"EBSA-2014-0016","document_id":"EBSA-2014-0016-0005","regulation_id_number":"1210-ZA25","title":"Fiduciary - Conflict of Interest Exemptions","checked_regulationsdotgov_at":"2023-03-01T01:11:54Z"},"regulations_dot_gov_url":null,"significant":null,"signing_date":null,"start_page":22004,"subtype":null,"title":"Proposed Amendment to Prohibited Transaction Exemption (PTE) 75-1, Part V, Exemptions From Prohibitions Respecting Certain Classes of Transactions Involving Employee Benefit Plans and Certain Broker-Dealers, Reporting Dealers and Banks","toc_doc":"Proposed Amendment to Prohibited Transaction Exemptions, Exemptions from Prohibitions Respecting Certain Classes of Transactions Involving Employee Benefit Plans and Certain Broker-Dealers, Reporting Dealers and Banks","toc_subject":null,"topics":[],"type":"Proposed Rule","volume":80}