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Access to TARP program and Fed funding: insurance company strategies and implications
- Sutherland Asbill & Brennan LLP
- -
- USA
- -
- January 14 2009
Less than 2 weeks after the enactment of the Emergency Economic Stabilization Act of 2008 (EESA), the Department of the Treasury began implementing the Troubled Assets Relief Program (TARP), albeit not in the form initially presented to Congress
Treasury and other financial regulators issue financial sector self-assessment reviews to IMF
- Alston & Bird LLP
- -
- USA
- -
- August 31 2009
Today, the U.S. Treasury and various other U.S. financial system supervisors and regulators, including the Federal Reserve, Office of the Comptroller of the Currency, Office of Thrift Supervision, Federal Deposit Insurance Corporation, Securities and Exchange Commission, Commodity Futures Trading Commission, and National Association of Insurance Commissioners, submitted financial sector self-assessment reviews for banking, securities, insurance, and payment systems to the International Monetary Fund (IMF
Central Bank assumes deposits of Mainstreet Bank
- Alston & Bird LLP
- -
- USA
- -
- August 30 2009
On Friday, the Minnesota Department of Commerce closed Mainstreet Bank, headquartered in Forest Lake, Minnesota, and the FDIC was named as receiver
Regulators approve holding company status for Phoenix Companies and Protective Life
- Alston & Bird LLP
- -
- USA
- -
- January 15 2009
Today, federal regulators approved holding company applications for two insurance companies and their acquisition of two depository institutions that have presented regulatory concerns
District of Columbia appoints new Commissioner
- Edwards Wildman Palmer LLP
- -
- USA
- -
- September 2 2009
On August 28, 2009, the District of Columbia Department of Insurance, Securities and Banking (“DISB”) issued a press release announcing that Thomas E. Hampton has stepped down as Commissioner of the DISB
House may hold hearings on a possible adviser SRO
- Sutherland Asbill & Brennan LLP
- -
- USA
- -
- September 4 2009
It has been reported that the U.S. House Financial Services Committee may hold a hearing in October 2009 on whether the investment adviser industry should have a self-regulatory organization (SRO
TARP coverage - will insurers warm to it?
- Faegre Baker Daniels
- -
- USA
- -
- May 5 2009
After weeks of internal debate, the Treasury Department has allowed insurers who purchased banks to participate in the Capital Purchase Program (CPP
FDIC issues final rule on treatment of sweep accounts in bank failures and disclosure requirements
- Hunton & Williams LLP
- -
- USA
- -
- January 30 2009
As we reported in a previous alert, the FDIC published an interim rule in July of last year that addressed the treatment of deposit accounts, including sweep accounts, in bank failures
Technical advice to the European Commission on the equivalence of supervisory arrangements in Switzerland and the United States with regard to bankinginvestment groups and financial conglomerates
- Norton Rose LLP
- -
- European Union, Switzerland, USA
- -
- March 3 2008
The Committee of European Banking Supervisors (CEBS) and the Committee of European Insurance and Occupational Pensions Supervisors (CEIOPS) have published a joint response of CEBS and the Interim Working Committee on financial conglomerates
Broker-dealers eye proposed consumer agency
- Jorden Burt LLP
- -
- USA
- -
- September 7 2009
The Obama Administration in July published draft legislation that would establish a Consumer Financial Protection Agency (CFPA) to regulate a wide variety of financial products and services that are provided to a consumer primarily for personal, family, or household purposes
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