ERISA Fiduciary Litigation
May 6, 2025

Supreme Court ERISA Ruling: New Litigation Risks for CFOs, CEOs & HR Professionals

Supreme Court ERISA Ruling: A New Era for Retirement Plan Fiduciaries On April 17, 2025, the U.S. Supreme Court issued a landmark decision that will reshape how lawsuits involving group retirement plans are handled under ERISA-the Employee Retirement Income Security Act of 1974. For CFOs, CEOs, and HR leaders responsible for overseeing your company’s retirement plans, this ruling is a game changer. It lowers the bar for plaintiffs to bring prohibited transaction claims,...
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Retirement Plan Fiduciary Duties
December 3, 2024

Mastering Your 401(k) Fiduciary Duties: A Guide for HR Leaders and Executives

What is a Group Retirement Plan Fiduciary? A group retirement plan fiduciary is an individual or entity that has discretionary authority or control over a retirement plan or its assets. Fiduciaries are legally responsible for acting in the best interest of plan participants and their beneficiaries. They can be personally liable for any breaches of their fiduciary duties. Key Responsibilities...
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Langan Financial Group, LLC ("Langan Financial Group" or "LFG") is an SEC registered investment adviser. SEC registration does not constitute an endorsement of the firm by the Commission nor does it indicate that the adviser has attained a particular level of skill or ability. LFG may only transact business in those states in which it is registered, or qualifies for an exemption or exclusion from registration requirements.

Important information about our firm is on our Disclosures page. You can review our registration and disciplinary history on the SEC's Investment Adviser Public Disclosure (IAPD) website and, for brokerage registrations, on FINRA's BrokerCheck. This website is for general information only. It is not legal, accounting, or tax advice. Please talk with your own legal or tax professional about your situation.  Important information about our firm is on our Disclosures page.

You can review our registration and disciplinary history on the SEC's Investment Adviser Public Disclosure (IAPD), website and, for brokerage registrations, on FINRA's BrokerCheck.
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Harrisburg, PA Office

Address: 1863 Center St, Camp Hill, Pa 17011
Phone: 717-288-1880

York, PA Office

Address: 3405 Board Rd, Suite 200, York, Pa 17406
Phone: 717-773-4085