Fiduciary rule will be gone, but not forgotten.

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    • Abstract:
      The article examines the influence of the U.S. Department of Labor's fiduciary rule on the world of wealth management. Topics discussed include remarks from Scott Matasar, Cleveland, Ohio attorney specializing in the retail securities industry, arguments of opponents of the rule, and statement from Ron Gross, president and chief executive officer (CEO) of Beachwood-based wealth management firm MGO and co-founder of Beachwood firm One Seven.