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A Capital Idea? Proposed Changes to the U.S. Regulatory Capital Framework

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Recorded on: Jul. 2, 2012

Taken from the briefing A Capital Idea? Proposed Changes to the U.S. Regulatory Capital Frameworkrecorded June, 2012. On June 12, 2012, the Federal banking agencies formally proposed for comment, in three separate but related proposals, significant changes to the U.S. regulatory capital framework: the Basel III Proposal, which applies the Basel III capital framework to almost all U.S. banking organizations; the Standardized Approach Proposal, ...

Advanced Swaps & Other Derivatives 2012

On-Demand Web Programs  On-Demand Web Programs    

From the program: Advanced Swaps & Other Derivatives 2012

Released on: Oct. 31, 2012

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 ...

A Guide to Financial Institutions 2012

DVD Video  DVD Video    Audio CD  Audio CD    

From the program: A Guide to Financial Institutions 2012

Released on: Apr. 17, 2012

DVD's from the program A Guide to Financial Institutions 2012, held March, 2012.

Asset Based Financing 2012

Audio CD  Audio CD    DVD Video  DVD Video    

From the program: Asset Based Financing 2012

Released on: May. 15, 2012

Audio CD's from the program Asset Based Financing 2012, held April, 2012.

Asset Based Financing Strategies 2013

On-Demand Web Programs  On-Demand Web Programs    

From the program: Asset Based Financing Strategies 2013

Released on: Mar. 25, 2013

Asset-based financing is a key source of credit for small and medium-size companies and for some larger, publicly traded companies as well. In contrast to equity financing where ownership in the company is diluted, asset-based financing allows companies to use their own assets to generate cash flow. In structuring these loans, lenders and their counsel must consider all senior interests in the collateral, as well as the practical difficulties in ...

Banking Law Institute 2011: The Transformation Continues

On-Demand Web Programs  On-Demand Web Programs    

From the program: Banking Law Institute 2011: The Transformation Continues

Released on: Dec. 21, 2011

One year ago, Congress completed work on the most comprehensive overhaul of U.S. financial services regulation since the 1930s.  Since then, U.S. regulators have been at work on hundreds of new rulemaking projects that will affect nearly every segment of the financial services industry, including the ground rules for M&A activity, and present unprecedented challenges and opportunities for years to come.  Our expert faculty will provide ...

Banking Law Institute 2012

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From the program: Banking Law Institute 2012

Released on: Dec. 19, 2012

The banking industry is in the midst of a fundamental transformation of the regulatory framework in which it operates, as well as a shifting of regulatory and enforcement priorities and approaches. These changes, taking place in an environment of continuing global economic challenges, require bankers and counsel who practice in the financial services industry to reexamine basic assumptions about business operations and future trends. With changing ...

Consumer Financial Services Institute 2013 (18th Annual)

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From the program: Consumer Financial Services Institute (18th Annual)

Released on: Apr. 23, 2013

On January 4, 2012, President Obama appointed Richard Cordray as the first Director of the Consumer Financial Protection Bureau (CFPB). Since that time, the CFPB has been involved in a whirlwind of regulatory, supervisory and enforcement activities. In addition to the CFPB, state and other federal regulators are pursuing initiatives focused on consumer financial services. This year’s Institute will explore in detail the Bureau’s activities as well ...

Commercial Real Estate Financing 2012: Getting Back to Business

Audio CD  Audio CD    DVD Video  DVD Video    

From the program: Commercial Real Estate Financing 2012: Getting Back to Business

Released on: Mar. 13, 2012

Audio CD'sfrom the program Commercial Real Estate Financing 2012: Getting Back to Business, held February, 2012.

Commercial Real Estate Financing 2013

On-Demand Web Programs  On-Demand Web Programs    

From the program: Commercial Real Estate Financing 2013

Released on: Mar. 1, 2013

This seminar will explore major issues and problems, and recent changes, in how lenders and borrowers negotiate commercial real estate loans in the still-lingering shadow of the recent financial crisis. Speakers will show how today’s lower valuations and the renewed conservatism of lenders will shape the terms, legal negotiations, and closing process of commercial real estate financing in 2013. This year’s program will turn back toward ...

Consumer Financial Services Institute (17th Annual)

Audio CD  Audio CD    DVD Video  DVD Video    

From the program: Consumer Financial Services Institute (17th Annual)

Released on: May. 8, 2012

Audio CD's from the program Consumer Financial Services Institute (17th Annual), held April, 2012.

New Developments in Securitization 2012

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From the program: New Developments in Securitization 2012

Released on: Dec. 14, 2012

As the securitization world begins to emerge from the financial crisis, it faces an onslaught of new regulation and uncertainty.  Many transactions have been downgraded and have suffered unforeseeable losses.  Additionally, investor confidence in structured products has been badly shaken.  Moreover, many transactions have been subject to restructurings and litigation of various types.  Will these reforms be sufficient to restore ...

ERISA Fiduciary Investment Basics 2013 -- Understanding Basic Financial Institution Activities

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From the program: ERISA Fiduciary Investment Basics 2013

Recorded on: Feb. 11, 2013

Taken from the Web Program ERISA Fiduciary Investment Basics 2013 recorded February, 2013 in New York. Lecture Topics  [01:00:44] Understanding Basic Financial Institution Activities  [01:00:44] What is a prime broker? What is a swap? Parties in interest, prohibited transaction rules, and key exemptions The purchase price of this segment includes the following article from the Course Handbook available online:  ...

FATCA: The Deadline Looms Will You Be Ready? (Audio-only)

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Released on: Nov. 1, 2012

Taken from the briefing FATCA: The Deadline Looms... Will You Be Ready? recorded October, 2012. In the wake of the massive criminal tax prosecutions of UBS and other foreign firms by the Department of Justice in the late 2000s, Congress enacted FATCA to combat tax evasion by U.S. persons and to deter the facilitation of tax evasion by foreign financial institutions (“FFIs”).  To achieve these goals, FATCA requires that foreign ...

Final FATCA Regulations: What Hedge Funds and Private Equity Funds Need to Know 2013 (Audio-only)

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Released on: Feb. 28, 2013

Taken from the briefing Final FATCA Regulations: What Hedge Funds and Private Equity Funds Need to Know recorded February, 2013. The FATCA regime represents the IRS’s far-reaching effort to require “foreign financial institutions,” including offshore investment vehicles, to assist it in enforcing the US tax obligations of US persons. The lengthy final FATCA regulations were published on January 17, 2013. The FATCA regime will ...

Financial Institution Planning and Compliance Under Dodd-Frank: Putting the Pieces Together

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Recorded on: Jul. 13, 2012

Taken from the briefing Financial Institution Planning and Compliance Under Dodd-Frank: Putting the Pieces Together recorded July, 2012. The Dodd-Frank Act calls on banks to put in place new risk management regimes, conduct stress tests, and submit plans in several areas, including capital, liquidity, resolution planning, and compliance with the Volcker Rule.  The regulators have begun to understand how these requirements relate, ...

Force-Placed Insurance: Current Trends Following the Financial Crisis 2012 (Audio-only)

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Released on: Jun. 14, 2012

Taken from the briefing Force-Placed Insurance: Current Trends Following the Financial Crisis recorded May, 2012. Borrowers who finance the purchase of a home, vehicles or personal or commercial property are generally required to maintain insurance on that property to protect the lender’s interest in the property as collateral for the loan.  When the borrower fails to do so, or its existing insurance policy lapses, the lender is  ...

From False Claims Act to FIRREA: The Government's Expanding Enforcement Arsenal Against Financial Institutions

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Recorded on: Jul. 26, 2012

Taken from the briefing From False Claims Act to FIRREA: The Government's Expanding Enforcement Arsenal Against Financial Institutions 2012 recorded July, 2012. In its pursuit of financial fraud, the Department of Justice has recently "rediscovered" civil enforcement statutes that have not traditionally been applied in the context of financial fraud, particularly the False Claims Act, FIRREA, and the Fraud Injunction Statute. Listen ...

Fundamentals of Swaps & Other Derivatives 2012

On-Demand Web Programs  On-Demand Web Programs    

From the program: Fundamentals of Swaps & Other Derivatives 2012

Released on: Oct. 29, 2012

Over-the-counter (OTC) derivatives are key elements in many of our financial markets. The Dodd-Frank Act is substantially changing how these important instruments are regulated and transacted. This program will introduce you to both the instruments and their new environment. A derivative is a financial instrument that allocates the risks and price exposures associated with a designated reference asset or entity between the parties thereto. Derivatives ...

Hello World: The CFPB - One Year Later

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Recorded on: Aug. 16, 2012

Taken from the briefing Hello World: The CFPB - One Year Later recorded August, 2012. Among the most significant changes wrought by the 2010 Dodd-Frank Act was the creation of the Bureau of Consumer Financial Protection to protect consumers and regulate financial products offered by the nation’s financial institutions.  A year has passed since the Bureau opened its doors and much has been accomplished by the agency, with ...

Insurance Group Solvency Supervision: Proposed Enhancements 2012

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Recorded on: Jul. 2, 2012

Taken from the briefing Insurance Insurance Group Solvency Supervision: Proposed Enhancements 2012recorded June, 2012. Regulators in the U.S. and internationally have been working on ways to enhance oversight of insurance groups that include both regulated insurance entities and non-regulated entities.  These efforts are in response to the perceived gaps in regulation of financial groups identified from the 2008 financial crisis and in ...

International Banking, Part I: The Federal Reserve's Proposed Prudential Regulations for Foreign Banks

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Recorded on: Feb. 8, 2013

Taken from the briefing International Banking, Part I: The Federal Reserve's Proposed Prudential Regulations for Foreign Banks recorded February, 2013. On December 14, 2012, the Federal Reserve proposed significant new regulations affecting the operations of foreign banks in the United States. The proposals are designed to implement the enhanced prudential regulation and early remediation requirements of Dodd-Frank Act sections 165 and ...

International Banking, Part II: Foreign Banks Accessing the U.S. Markets

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Recorded on: Mar. 8, 2013

Taken from the briefing International Banking, Part II: Foreign Banks Accessing the U.S. Markets recorded March, 2013. Foreign banks are increasingly seeking to diversify their financing opportunities.  With careful planning, banks can access U.S. investors without subjecting themselves to the securities registration requirements applicable to public offerings and to ongoing disclosure and governance requirements applicable to U.S. ...

International Banking, Part III: SEC Registration for Foreign Banks 2013 (Audio-only)

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Released on: Apr. 4, 2013

Taken from the briefing International Banking, Part III: SEC Registration for Foreign Banks recorded March, 2013. Foreign banks seeking to diversify their financing opportunities may consider SEC registration. This briefing will focus on the registration process; disclosure considerations for financial institutions; and compliance, governance and ongoing reporting. Lecture Topics  [Total Time: 01:05:06] The registration process and ...

International Banking, Part IV: Foreign Banks Issuing Covered Bonds into the U.S

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Recorded on: Apr. 2, 2013

Taken from the briefing International Banking, Part IV: Foreign Banks Issuing Covered Bonds into the U.S.recorded March, 2013.Despite the sovereign crisis and heightened volatility, the covered bond market remains very attractive.  Foreign banks continue to access the U.S. markets with covered bond offerings.  We will discuss the market environment, the legal and regulatory considerations, and the process for an exempt offering by a ...

Featured Faculty/Authors
Lisa J. Sotto

Lisa J. Sotto ~ Hunton & Williams LLP

David W. Pollak

David W. Pollak ~ Morgan, Lewis & Bockius LLP

Katie M. Lachter

Katie M. Lachter ~ Hinshaw & Culbertson LLP