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OCR: over the years, through the issuance of the Plan Asset Regula- tion in 1986, and climaxing in the DOLS refusal to file brief on this issue when requested to by the court below the DOL has often the Trustee's position Or F the very least acted inconsistently. Ip order to escape the clear language of ERISA and the ob- vious intent of Congress. Hancock and amici claim that con forming to both state law and ERISA fiduciary rules would be imposible These clairms are irrelevant and ir any event, op not bear scrutiny. The issue before this Court 15 the interpreta tion of $401(b)(2), not its implementation. The proper for the debate on how best to regulate general accouni products under ERISA is the DOL's regul atory process At that time issues concerning ass exemptions from the prohibited transac ...