Comcast 2014 Annual Report Download - page 298

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(f) to determine whether any domestic relations order received by the Plan is a qualified domestic relations order as provided
in section 414(p) of the Code;
(g) to prepare and file any reports or returns with respect to the Plan required by the Code, ERISA or any other law;
(h) to correct errors and make equitable adjustments for mistakes made in the administration of the Plan;
(i) to issue rules and regulations necessary for the proper conduct and administration of the Plan and to change, alter, or
amend such rules and regulations;
(j) to determine all questions arising in the administration of the Plan, to the extent the determination is not the responsibility
of a third party administrator, insurer or some other entity;
(k) to propose and accept settlements of claims involving the Plan;
(l) to direct the Trustee to pay benefits and Plan expenses properly chargeable to the Plan; and
(m) such other duties or powers provided in the Plan or necessary to administer the Plan.
10.2.3. The Committee shall have exclusive authority and discretion to manage and control the assets of the Plan, including, but not
limited to the following
(a) establish the Plan’s overall investment policy, including asset allocation, investment policy statement or investment
guidelines;
(b) appoint and remove a Trustee or Trustees with respect to a portion of or all of the assets of the Trust;
(c) direct such Trustee(s) with respect to the investment and management of the Plan’s assets, including any voting rights for
any securities held by the Trustee;
(d) direct the Trustee to pay investment-related expenses properly chargeable to the Plan, including Trustee expenses;
(e) enter into a trust agreement with such Trustee(s) on behalf of the Company, and approve any amendments to any such
trust agreement, including single-client, common and collective trust arrangements;
(f) enter into insurance contracts and arrangements, including contracts for participation in single-client or pooled separate
accounts to facilitate the investment of plan assets; and
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