Docket No. | Op. Below | Argument | Opinion | Vote | Author | Term |
---|---|---|---|---|---|---|
12-256 | 6th Cir. | N/A | N/A | N/A | N/A | OT 2012 |
Issue: (1) Whether Employee Retirement Income Security Act (ERISA) Section 404(c) provides a fiduciary of an otherwise qualified plan a defense to liability against an imprudent investment claim when the participant’s control over the investment is the proximate cause of the loss; and (2) whether liability under ERISA Section 409(a) for a breach of fiduciary duty claim requires that the breach constitute the proximate cause of the loss.
Date | Proceedings and Orders |
---|---|
Jun 14 2012 | Application (11A1200) to extend the time to file a petition for a writ of certiorari from June 26, 2012 to August 25, 2012, submitted to Justice Kagan. |
Jun 15 2012 | Application (11A1200) granted by Justice Kagan extending the time to file until August 25, 2012. |
Aug 24 2012 | Petition for a writ of certiorari filed. (Response due September 27, 2012) |
Sep 18 2012 | Order extending time to file response to petition to and including October 29, 2012. |
Sep 27 2012 | Motion for leave to file amicus brief filed by The American Benefits Council. |
Oct 29 2012 | Brief of respondents Raymond M. Pfeil, et al. in opposition filed. |
Nov 12 2012 | Reply of petitioner State Street Bank and Trust Company filed. |
Nov 13 2012 | DISTRIBUTED for Conference of November 30, 2012. |
Dec 3 2012 | Motion for leave to file amicus brief filed by The American Benefits Council GRANTED. |
Dec 3 2012 | Petition DENIED. |