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Results: 1-10 of 11

Ohio Supreme Court reconsiders Acordia and partially reverses itself

  • Porter Wright Morris & Arthur LLP
  • -
  • USA
  • -
  • October 11 2012

Bankers and other financial institution executives may find it of interest that the Ohio Supreme Court recently granted a motion for reconsideration in a widely-reported, much-criticized decision concerning the enforcement of non-competition agreements, a subject that is almost always of interest

Dodd-Frank Act anniversary

  • Porter Wright Morris & Arthur LLP
  • -
  • USA
  • -
  • August 15 2012

In July the second anniversary of the signing of the Dodd-Frank Act passed, giving community bankers an opportunity to consider where things stand

Deadline approaching for retirement plan fee disclosures

  • Porter Wright Morris & Arthur LLP
  • -
  • USA
  • -
  • June 13 2012

The deadline is quickly approaching for written fee disclosures by covered service providers

CFBP releases examination manual

  • Porter Wright Morris & Arthur LLP
  • -
  • USA
  • -
  • November 9 2011

In October, the Consumer Financial Protection Bureau published its first supervision examination manual which will be of interest to bankers and other financial service executives

FDIC reports on brokered deposits: no change near term

  • Porter Wright Morris & Arthur LLP
  • -
  • USA
  • -
  • August 24 2011

In early July, the FDIC issued a report on an important subject to many community bankers: brokered deposits

Dodd-Frank Act: an overview for community banks

  • Porter Wright Morris & Arthur LLP
  • -
  • USA
  • -
  • August 5 2010

Trying to understand the whole of H.R. 4173, the Dodd-Frank Wall Street Reform and Consumer Protection Act, is tough

Community banks should consult SEC small entity compliance guide for shareholder disclosure suggestions

  • Porter Wright Morris & Arthur LLP
  • -
  • USA
  • -
  • April 6 2010

As you read this, annual meeting season is in full swing

Regulatory changes for money market funds

  • Porter Wright Morris & Arthur LLP
  • -
  • USA
  • -
  • February 25 2010

On February 23, 2010, the Securities and Exchange Commission began what may become radical revisions to the regulation of money market funds when it adopted a number of significant changes to its rules governing money market funds

FDIC tag program

  • Porter Wright Morris & Arthur LLP
  • -
  • USA
  • -
  • September 4 2009

For bankers, November 2, 2009, is a key date to remember in conjunction with unlimited FDIC deposit insurance on noninterest-bearing transaction accounts

Tax Court ruling negatively affects ability to deduct some interest expenses for "QSub banks" and their owners

  • Porter Wright Morris & Arthur LLP
  • -
  • USA
  • -
  • August 11 2009

A U.S. Tax Court ruling issued earlier this year draws into question the ability of “QSub banks” fully to deduct interest expenses related to financing tax-exempt bond investments