Limitation of actions
United States Code
Citation analytics
How this statute sits in the citation network, derived from CiteLaw's graph of published opinions.
★Landmark AuthorityTop 1% most-cited · cited by 771 decisions
771
Citing decisions
6+
Courts citing
Citations by decade
1
74
166
174
202
154
1970s1980s1990s2000s2010s2020s
Courts citing this statute
Most recently cited by10
- 2026Meyer v. Unitedhealthcare Insurance Company 9th Cir.
- 2026Soni N.D. Ill.
- 2026Bennett D. Minnesota
- 2026Nolan W.D.N.C.
- 2026Sweeney S.D. Ohio
- 2026Seyboldt D. Conn.
- 2026Garippo N.D. Ill.
- 2026Bowers D. Mass.
- 2026Hill D. Conn.
- 2026WIEDERHOLD S.D. Ind.
Counts reflect decisions in the CiteLaw corpus and may lag very recent opinions.
Text
six years after (A) the date of the last action which constituted a part of the breach or violation, or (B) in the case of an omission the latest date on which the fiduciary could have cured the breach or violation, or three years after the earliest date on which the plaintiff had actual knowledge of the breach or violation; No action may be commenced under this subchapter with respect to a fiduciary’s breach of any responsibility, duty, or obligation under this part, or with respect to a violation of this part, after the earlier of— (Source: (Pub. L. 93–406, title I, § 413, Sept. 2, 1974, 88 Stat. 889; Pub. L. 100–203, title IX, § 9342(b), Dec. 22, 1987, 101 Stat. 1330–371; Pub. L. 101–239, title VII, §§ 7881(j)(4), 7894(e)(5), Dec. 19, 1989, 103 Stat. 2443, 2450.))