On-Demand   On-Demand Web Programs

Advanced Swaps & Other Derivatives 2012

Released on: Oct. 31, 2012
Running Time: 12:22:59

Running Time Segment Title Faculty Format
[00:58:46] Swaps, Security-Based Swaps and Mixed Swaps: What's Covered and What isn't Covered by Dodd-Frank? Who Are the Regulators? What is the Extraterritorial Reach of Dodd-Frank? Mary Johannes ~ Senior Director and Head of U.S. Public Policy, ISDA
Gary Barnett ~ Director of the Division of Swap Dealer and Intermediary Oversight, U.S. Commodity Futures Trading Commission
Joshua D. Cohn ~ Mayer Brown LLP
Mark A. Steffensen ~ Managing Director and General Counsel, Global Banking and Markets - Americas, HSBC Securities (USA) Inc.
Sarah Lee ~ Managing Director and Associate General Counsel, Global Head of Fl Derivatives and Reg Reform, Bank of America
Matthew Daigler ~ Senior Special Counsel, US Securities and Exchange Commission
On-Demand MP3 MP4
[01:27:28] Clearing and Trading; Grandfathering; End-Users; Marin Posting for Cleared and Uncleared Transactions; Client Money Segregation; Loss Mutualization Kathryn M. Trkla ~ Foley & Lardner LLP
Michael D. Bopp ~ Gibson, Dunn & Crutcher LLP
William A. Curran ~ Executive Director, Morgan Stanley
William Thum ~ Principal, Legal Department, The Vanguard Group, Inc.
On-Demand MP3 MP4
[01:03:01] Swap Execution and Reporting; Giveup and Backloading Arrangements Joshua D. Cohn ~ Mayer Brown LLP
Lauren Teigland-Hunt ~ Teigland-Hunt LLP
Christopher L. Ramsay ~ Director and Associate General Counsel, Head of Global Transaction Management, Citadel LLC
Geoffrey B. Goldman ~ Shearman & Sterling LLP
Kathryn M. Trkla ~ Foley & Lardner LLP
Jeffrey T. Waddle ~ Managing Director & Senior Counsel, The Depository Trust & Clearing Corporation
On-Demand MP3 MP4
[01:34:48] Swap Dealers and Major Swap Participants: Who are They and How will They be Regulated? Reporting, Position Limits, Business Conduct Rules, Capital Kenneth M. Raisler ~ Sullivan & Cromwell LLP
Gary Barnett ~ Director of the Division of Swap Dealer and Intermediary Oversight, U.S. Commodity Futures Trading Commission
Robert C. Lee ~ Director, GM Central Management, Deutsche Bank AG
Richard A. Ostrander ~ Managing Director, Legal & Compliance, BlackRock
On-Demand MP3 MP4
[00:51:25] Regulation of Other Swap Market Participants under the CEA and Securities Exchange Act of 1934: Clearing Members, Clearing Houses, and the Swap Activities of Banks, Part 1 Gary Barnett ~ Director of the Division of Swap Dealer and Intermediary Oversight, U.S. Commodity Futures Trading Commission
Kevin Walek ~ Former Assistant Director, U.S. Commodity Futures Trading Commission
Paul M. Architzel ~ WilmerHale LLP
On-Demand MP3 MP4
[01:14:30] Regulation of Other Swap Market Participants under the CEA and Securities Exchange Act of 1934: Clearing Members, Clearing Houses, and the Swap Activities of Banks, Part 2 Don Thompson ~ Managing Director and Assoicate General Counsel, JPMorgan Chase & Co.
Douglas E. Harris ~ Managing Director, Promontory Financial Group, L.L.C.
Laura Schisgall ~ Managing Director, Global Markets Legal Group Head/AMER, Societe Generale Americas
On-Demand MP3 MP4
[00:53:27] Tax and Accounting Mark H. Leeds ~ Mayer Brown LLP
On-Demand MP3 MP4
[00:55:34] Derivatives and Professional Responsibility Michael S. Sackheim ~ Sidley Austin LLP
On-Demand MP3 MP4
[01:02:27] Principal Issues for Consideration and Negotiation in Derivatives Documentation - Implications of the New Regime; SCM v FCM Model; Optimizing Portfolio Management Across Products Gary Barnett ~ Director of the Division of Swap Dealer and Intermediary Oversight, U.S. Commodity Futures Trading Commission
David Z Moss ~ Purrington Moody Weil LLP
Nevis Bregasi ~ Senior Counsel, MFS Investment Management
Silas J. Findley ~ Director and Legal Counsel, Citigroup Global Markets Inc.
On-Demand MP3 MP4
[00:33:18] Enforcement, Litigation & Insolvency and Resolution Authority: Netting Opinions; Safe Harbors; Orderly Liquidation Part 1 David Meister ~ Director of Enforcement, U.S. Commodity Futures Trading Commission
Kenneth M. Raisler ~ Sullivan & Cromwell LLP
David Yeres ~ Clifford Chance US LLP
On-Demand MP3 MP4
[01:32:49] Enforcement, Litigation & Insolvency and Resolution Authority: Netting Opinions; Safe Harbors; Orderly Liquidation Part 2 Harold S. Novikoff ~ Wachtell Lipton Rosen & Katz
Seth Grosshandler ~ Cleary Gottlieb Steen & Hamilton LLP
Joshua D. Cohn ~ Mayer Brown LLP
Mark G. Hanchet ~ Mayer Brown LLP
R. Penifield Starke ~ Assistant General Counsel, Legal Division, Federal Deposit Insurance Corporation
Charles M. Miller ~ Kasowitz, Benson Torres & Friedman LLP
On-Demand MP3 MP4
The Dodd-Frank Act establishes a novel, comprehensive framework for the regulation of over-the-counter (OTC) derivatives and the market participants who transact in these products. The far-reaching effect of the Dodd-Frank Act upon the OTC markets is only now becoming clear.

The new regulatory regime touches the activities of all participants in the swaps markets, from end users to major swap participants to swap dealers. The new regulations will also affect a broad range of market facilities from clearinghouses to exchanges, to newly-conceived swap execution facilities and swap data repositories.

The Dodd-Frank Act imposes registration requirements, mandatory clearing and trading requirements, margin requirements, capital and business conduct standards, and transaction and position reporting, as well as limitations on swap positions.

The legislation also establishes new limitations on the scope of derivatives and proprietary trading activities that may be conducted by certain financial institutions.

In this program, our distinguished faculty will provide a comprehensive overview of the new regulatory framework for OTC derivatives and derivatives market participants, and explain how the new regulatory framework will affect these products, the structure of the market for these products and market participants. The program will also cover documentation issues, and recent developments in tax, accounting and litigation related to OTC derivatives, as well as professional responsibility issues associated with derivatives.

Lecture Topics  [Total time 12:22:59]

Segments with an asterisk (*) are available only with the purchase of the entire program.

  • Opening Remarks* [00:13:34]
    Gary Barnett, Joshua D. Cohn
  • Swaps, Security-Based Swaps and Mixed Swaps: What's Covered and What isn't Covered by Dodd-Frank? Who Are the Regulators? What is the Extraterritorial Reach of Dodd-Frank? [00:58:46]
    Gary Barnett, Joshua D. Cohn, Mary Johannes, Sarah Lee, Mark A. Steffensen, Matthew Daigler
  • Clearing and Trading; Grandfathering; End-Users; Marin Posting for Cleared and Uncleared Transactions; Client Money Segregation; Loss Mutualization [01:27:28]
    Kathryn M. Trkla, Michael D. Bopp, William Thum, William Curran
  • Swap Execution and Reporting; Giveup and Backloading Arrangements [01:03:01]
    Joshua D. Cohn, Kathryn M. Trkla, Geoffrey B. Goldman, Christopher L. Ramsay, Jeffrey T. Waddle, Lauren Teigland-Hunt
  • Swap Dealers and Major Swap Participants: Who are They and How will They be Regulated? Reporting, Position Limits, Business Conduct Rules, Capital [01:34:48]
    Gary Barnett, Robert C. Lee, Richard A. Ostrander, Kenneth M. Raisler
  • Regulation of Other Swap Market Participants under the CEA and Securities Exchange Act of 1934: Clearing Members, Clearing Houses, and the Swap Activities of Banks, Part 1 [00:51:25]
    Gary Barnett, Paul M. Architzel, Kevin Walek
  • Recap and Introduction to Day Two* [00:01:52]
    Gary Barnett, Joshua D. Cohn
  • Regulation of Other Swap Market Participants under the CEA and Securities Exchange Act of 1934: Clearing Members, Clearing Houses, and the Swap Activities of Banks, Part 2 [01:14:30]
    Douglas E. Harris, Laura Schisgall, Don Thompson
  • Enforcement, Litigation & Insolvency and Resolution Authority: Netting Opinions; Safe Harbors; Orderly Liquidation Part 1 [00:33:18]
    David Yeres, Kenneth M. Raisler, David Meister
  • Tax and Accounting [00:53:27]
    Mark H. Leeds
  • Derivatives and Professional Responsibility [00:55:34]
    Michael S. Sackheim
  • Principal Issues for Consideration and Negotiation in Derivatives Documentation - Implications of the New Regime; SCM v FCM Model; Optimizing Portfolio Management Across Products [01:02:27]
    Gary Barnett, Silas J. Findley, Nevis Bregasi, David Z Moss
  • Enforcement, Litigation & Insolvency and Resolution Authority: Netting Opinions; Safe Harbors; Orderly Liquidation Part 2 [01:32:49]
    Joshua D. Cohn, Seth Grosshandler, R. Penifield Starke, Mark G. Hanchet, Charles M. Miller, Harold S. Novikoff

The purchase price of this Web Program includes the following articles from the Course Handbook available online:

  • By When?--The CFTC's Dodd-Frank Compliance Dates
    Joshua D. Cohn
  • ISDA Response Letter to the CFTC: Re: Proposed Interpretive Guidance and Policy Statement: Cross-Border Application of Certain Swaps Provisions of the Commodity Exchange Act (RIN 3038-AD57); Notice of Proposed Exemptive Order and Request for Comment
    Joshua D. Cohn
  • Clearing and Trading Requirements for Swaps
    Kathryn M. Trkla
  • Impact and Analysis of the CFTC's Final Rule Relating to the End-User Exception to the Clearing Requirement for Swaps
    Michael D. Bopp
  • Trade Repositories/Swap Data Repositories
    Jeffrey T. Waddle
  • An August 2012 Overview of Dodd-Frank Swap Dealers, Security-Based Swap Dealers, Major Swap Participants and Major Security-based Swap Participants
    Joshua D. Cohn
  • Swap Dealers and Major Swap Participants: Who Are They and How Will They Be Regulated? Reporting, Position Limits, Business Conduct Rules, Capital
    Kenneth M. Raisler
  • CFTC's New Regulations on the Clearing Activities of DCOs and FCMs to Address the New Risks Posed by Mandatory Clearing
    Paul M. Architzel
  • Commodity Futures Trading Commission Office of Public Affairs: Division of Swap Dealer and Intermediary Oversight Responds to Frequently Asked Questions--CPO/CTA: Amendments to Compliance Obligations
    Kevin Walek
  • The Client Clearing Documentation Imperative: Inconsistent Approaches to Client Clearing Documentation Could Slow Adoption of OTC Clearing within Europe
    Silas J. Findley
  • Greenberg Traurig Tax Alert: Et Tu Babe: New U.S. Tax Regulations Change the Landscape for Dividend Equivalents
    Mark H. Leeds
  • Greenberg Traurig Tax Alert: Collateral Damage: FATCA Implications for OTC Derivatives Supported by U.S. Dollar Assets
    Mark H. Leeds
  • Professional Responsibility Issues Under Title VII of the Dodd-Frank Act
    Michael S. Sackheim
  • CFTC Final Rule on Protection of Cleared Swaps Customer Contracts and Collateral
    Joshua D. Cohn
  • Special Bankruptcy Code Protections for Derivative and Other Financial Market Transactions
    Harold S. Novikoff
  • Selected Bank-Specific Derivatives Issues (PowerPoint Slides)
    Douglas E. Harris

Presentation Material

  • Clearing and Trading; Grandfathering; End-Users; Marin Posting for Cleared and Uncleared Transactions; Client Money Segregation; Loss Mutualization
    Michael D. Bopp
  • Clearing and Trading; Grandfathering; End-Users; Marin Posting for Cleared and Uncleared Transactions; Client Money Segregation; Loss Mutualization
    William Curran
  • Clearing and Trading; Grandfathering; End-Users; Marin Posting for Cleared and Uncleared Transactions; Client Money Segregation; Loss Mutualization
    William Thum
  • Clearing and Trading; Grandfathering; End-Users; Marin Posting for Cleared and Uncleared Transactions; Client Money Segregation; Loss Mutualization
    Kathryn M. Trkla
  • Swap Execution and Reporting; Giveup and Backloading Arrangements
    Geoffrey B. Goldman
  • Swap Execution and Reporting; Giveup and Backloading Arrangements
    Christopher L. Ramsay, Lauren Teigland-Hunt
  • Swap Execution and Reporting; Giveup and Backloading Arrangements
    Kathryn M. Trkla
  • Swap Execution and Reporting; Giveup and Backloading Arrangements
    Jeffrey T. Waddle
  • Regulation of Other Swap Market Participants under the CEA and Securities Exchange Act of 1934: Clearing Members, Clearing Houses, and the Swap Activities of Banks (continued)
    Douglas E. Harris
  • Regulation of Other Swap Market Participants under the CEA and Securities Exchange Act of 1934: Clearing Members, Clearing Houses, and the Swap Activities of Banks, Part 2
    Laura Schisgall
  • Regulation of Other Swap Market Participants under the CEA and Securities Exchange Act of 1934: Clearing Members, Clearing Houses, and the Swap Activities of Banks (continued)
    Don Thompson
  • Enforcement, Litigation & Insolvency and Resolution Authority: Netting Opinions; Safe Harbors; Orderly Liquidation Part 1 - An Introduction to Derivatives Regulatory Liabilities Under the Commodity Exchange Act Post Dodd-Frank Handout
    David Yeres
  • Tax and Accounting
    Mark H. Leeds
  • Principal Issues for Consideration and Negotiation in Derivatives Documentation - Implications of the New Regime; SCM v FCM Model; Optimizing Portfolio Management Across Products
  • Enforcement, Litigation & Insolvency and Resolution Authority: Netting Opinions; Safe Harbors; Orderly Liquidation Part 2
    Seth Grosshandler
  • Enforcement, Litigation & Insolvency and Resolution Authority: Netting Opinions; Safe Harbors; Orderly Liquidation Part 2 - Case Citations from the PowerPoint
  • Enforcement, Litigation & Insolvency and Resolution Authority: Netting Opinions; Safe Harbors; Orderly Liquidation Part 2 - Lomas Handout
  • Enforcement, Litigation & Insolvency and Resolution Authority: Netting Opinions; Safe Harbors; Orderly Liquidation Part 2 - Metavante Handout
  • Enforcement, Litigation & Insolvency and Resolution Authority: Netting Opinions; Safe Harbors; Orderly Liquidation Part 2
Co-Chair(s)
Gary Barnett ~ Director of the Division of Swap Dealer and Intermediary Oversight, U.S. Commodity Futures Trading Commission
Joshua D. Cohn ~ Mayer Brown LLP
Speaker(s)
Paul M. Architzel ~ WilmerHale LLP
Michael D. Bopp ~ Gibson, Dunn & Crutcher LLP
Nevis Bregasi ~ Senior Counsel, MFS Investment Management
William A. Curran ~ Executive Director, Morgan Stanley
Matthew Daigler ~ Senior Special Counsel, US Securities and Exchange Commission
Silas J. Findley ~ Director and Legal Counsel, Citigroup Global Markets Inc.
Geoffrey B. Goldman ~ Shearman & Sterling LLP
Seth Grosshandler ~ Cleary Gottlieb Steen & Hamilton LLP
Mark G. Hanchet ~ Mayer Brown LLP
Douglas E. Harris ~ Managing Director, Promontory Financial Group, L.L.C.
Mary Johannes ~ Senior Director and Head of U.S. Public Policy, ISDA
Robert C. Lee ~ Director, GM Central Management, Deutsche Bank AG
Sarah Lee ~ Managing Director and Associate General Counsel, Global Head of Fl Derivatives and Reg Reform, Bank of America
Mark H. Leeds ~ Mayer Brown LLP
David Meister ~ Director of Enforcement, U.S. Commodity Futures Trading Commission
Charles M. Miller ~ Kasowitz, Benson Torres & Friedman LLP
David Z Moss ~ Purrington Moody Weil LLP
Harold S. Novikoff ~ Wachtell Lipton Rosen & Katz
Richard A. Ostrander ~ Managing Director, Legal & Compliance, BlackRock
Kenneth M. Raisler ~ Sullivan & Cromwell LLP
Christopher L. Ramsay ~ Director and Associate General Counsel, Head of Global Transaction Management, Citadel LLC
Michael S. Sackheim ~ Sidley Austin LLP
Laura Schisgall ~ Managing Director, Global Markets Legal Group Head/AMER, Societe Generale Americas
R. Penifield Starke ~ Assistant General Counsel, Legal Division, Federal Deposit Insurance Corporation
Mark A. Steffensen ~ Managing Director and General Counsel, Global Banking and Markets - Americas, HSBC Securities (USA) Inc.
Lauren Teigland-Hunt ~ Teigland-Hunt LLP
Don Thompson ~ Managing Director and Assoicate General Counsel, JPMorgan Chase & Co.
William Thum ~ Principal, Legal Department, The Vanguard Group, Inc.
Kathryn M. Trkla ~ Foley & Lardner LLP
Jeffrey T. Waddle ~ Managing Director & Senior Counsel, The Depository Trust & Clearing Corporation
Kevin Walek ~ Former Assistant Director, U.S. Commodity Futures Trading Commission
David Yeres ~ Clifford Chance US LLP

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Alabama1, Alaska, California, Colorado, Delaware, Florida, Georgia, Hawaii, Idaho*, Illinois , Iowa2*, Kansas, Kentucky*, Louisiana, Maine*, Mississippi, Missouri3, Montana, Nebraska, Nevada, New Hampshire4, New Jersey, New Mexico5, New York6,  North Carolina7, North Dakota, Ohio8, Oklahoma9, Oregon*, Pennsylvania10, Rhode Island11, South Carolina, Tennessee12, Texas, Utah, Vermont, Virginia13, Washington, West Virginia, Wisconsin14 and Wyoming*.

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Minnesota 
approves live webcasts ONLY

Please Note: The State Bar of Arizona does not approve or accredit CLE activities for the Mandatory Continuing Legal Education requirement. PLI programs may qualify for credit based on the requirements outlined in the MCLE Regulations and Ariz. R. Sup. Ct. Rule 45.

*PLI will apply for credit upon request. Louisiana and New Hampshire: PLI will apply for credit upon request for audio-only on-demand web programs.


1Alabama: Approval of all web based programs is limited to a maximum of 6.0 credits.

 

2Iowa:  The approval is for one year from recorded date. Does not approve of Audio-only On-Demand Webcasts.

3Missouri:  On-demand web programs are restricted to six hours of self-study credit per year.  Self-study may not be used to satisfy the ethics requirements.  Self-study can not be used for carryover credit.

 

4New Hamphsire:  The approval is for three years from recorded date.

5New Mexico:  On-Demand web programs are restricted to 4.0 self-study credits per year. 


6New York:  Newly admitted attorneys may not take non-traditional course formats such as on-demand Web Programs or live Webcasts for CLE credit. Newly admitted attorneys not practicing law in the United States, however, may earn 12 transitional credits in non-traditional formats. 

7North Carolina:  A maximum of 4 credits per reporting period may be earned by participating in on-demand web programs. 


8Ohio:  To confirm that the web program has been approved, please refer to the list of Ohio’s Approved Self Study Activities at http://www.sconet.state.oh.us.  Online programs are considered self-study.  Ohio attorneys have a 6 credit self-study limit per compliance period.  The Ohio CLE Board states that attorneys must have a 100% success rate in clicking on timestamps to receive ANY CLE credit for an online program.

9Oklahoma:  Up to 6 credits may be earned each year through computer-based or technology-based legal education programs.


10Pennsylvania:  PA attorneys may only receive a maximum of four (4) hours of distance learning credit per compliance period. All distance learning programs must be a minimum of 1 full hour.
 

11Rhode Island:  Audio Only On-Demand Web Programs are not approved for credit.  On-Demand Web Programs must have an audio and video component.

12Tennessee:  The approval is for the calendar year in which the live program was presented.

13Virginia: All distance learning courses are to be done in an educational setting, free from distractions.

14Wisconsin: Ethics credit is not allowed.  The ethics portion of the program will be approved for general credit.  There is a 10 credit limit for on-demand web programs during every 2-year reporting period.  Does not approve of Audio-only On-Demand Webcasts.


Running time and CLE credit hours are not necessarily the same. Please be aware that many states do not permit credit for luncheon and keynote speakers.


If you have already received credit for attending some or the entire program, please be aware that state administrators do not permit you to accrue additional credit for repeat viewing even if an additional credit certificate is subsequently issued.


Note that some states limit the number of credit hours attorneys may claim for online CLE activities, and state rules vary with regard to whether online CLE activities qualify for participatory or self-study credits. For more information, call Customer Service (800) 260-4PLI (4754) or e-mail info@pli.edu.

 
Related Items

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Advanced Swaps & Other Derivatives 2014 (New York, NY) Oct. 16 - 17, 2014
Fundamentals of Swaps & Other Derivatives 2014 (New York, NY) Oct. 15, 2014

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Fundamentals of Swaps & Other Derivatives 2012 Oct. 29, 2012

Handbook  Course Handbook Archive

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