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A Primer on Automobile Fraud

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Recorded on: Jul. 30, 2013

Taken from the Web Program Representing the Pro Bono Client: Consumer Law Basics Recorded July, 2013 in San FranciscoA Primer on Automobile Fraud [01:00:39] The topic will cover the basic concepts of the representation of consumers who may have been the victim of automobile dealership fraud/misconduct, including: Review of dealer terminology and practices Common auto dealer sales and financing scams Use of Truth-in-Lending Act and state consumer ...

Basel III: Complying with the New Rules

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Recorded on: Aug. 7, 2013

Taken from the briefing Basel III: Complying with the New Rules recorded August, 2013.The federal banking agencies have just adopted comprehensive regulatory capital rules that will  implement Basel III in the U.S.  In turn, it is time for banking organizations to understand the new rules and bring themselves into compliance with them by the beginning of 2015 (2014, for the largest banking organizations).  The new rules make ...

Basel III and Derivatives Exposures: Understanding the Regulatory Capital Effects

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Recorded on: Jun. 4, 2013

Taken from the briefing Basel III and Derivatives Exposures: Understanding the Regulatory Capital Effectsrecorded May, 2013.The implementation of Basel III in the U.S. and in other jurisdictions may or may not be just around the corner, but it is none too soon for banking organizations to embark on the process of understanding how the evolving regulatory capital regime will affect their balance sheets and operations. One key area of impact will ...

Basel III Capital Proposal & the New Capital Supervisory Regime

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Recorded on: Dec. 17, 2012

Taken from the Web Program Banking Law Institute 2012 Recorded December, 2012 in New York Basel III Capital Proposal & the New Capital Supervisory Regime [01:25:33] Basel III Capital Proposal – Domestic and international convergence/divergence – Impact on domestic institutions – Balance sheet management and strategies – Liquidity requirements – Contingent convertible capital instruments  ...

CFPB Enforcement Update

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Recorded on: Apr. 17, 2013

Taken from the Web Program 18th Annual Consumer Financial Services Institute Recorded April, 2013 in New YorkCFPB Enforcement Update [01:02:27] Investigative and enforcement structure and procedures What we can learn from the CFPB’s consent orders The potential liability of officers and directors The purchase price of this segment includes the following article(s) from the Course Handbook available online: The ABC's of a CFPB Civil Investigative ...

Closing Business Transactions

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Recorded on: Oct. 19, 2012

Taken from the Web Program Pocket MBA Fall 2012 Recorded October, 2012 in New York Closing Business Transactions [01:01:32] A detailed look at negotiation How to divide-and-conquer when working with an investment bank Common stumbling blocks to closing transactions Examination of “fringe” deal issues that often create transaction friction Non-disclosure agreements from the banker’s perspective Letters ...

Derivatives Regulation and its Impact on Securitization

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Recorded on: Dec. 7, 2012

Taken from the Web Program New Developments in Securitization Recorded November, 2012 in New York Derivatives Regulation and its Impact on Securitization [01:05:32] Overview of derivatives reforms under Dodd-Frank Clearing and margining Registration and reporting Loss of swap leverage Grandfathering The purchase price of this segment includes the following article(s) from the Course Handbook available online:  ...

Ethics in Banking and Financial Services 2013

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Recorded on: Aug. 15, 2013

Taken from the Web Program Ethics in Banking and Financial Services 2013 Recorded August, 2013 in New YorkEthics in Banking and Financial Services 2013 [02:47:14] The intersection of banking and brokerage regulation: What are the ethical and practical issues for lawyers in an era of overlapping regulatory jurisdictions? The dangers and pitfalls of broker-dealer enforcement: What are the ethical and practical issues for lawyers in handling enforcement ...

Final FATCA Regulatons: What Hedge Funds and Private Equity Funds Need to Know

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Recorded on: Feb. 13, 2013

Taken from the briefing Final FATCA Regulations: What Hedge Funds and Private Equity Funds Need to Knowrecorded 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 ...

Growing Criminal Risks of Intermediaries for Cross-Border Financial Crimes

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Recorded on: Jul. 22, 2013

Taken from the briefing Growing Criminal Risks of Intermediaries for Cross-Border Financial Crimes recorded July, 2013.In the last couple of decades the U.S. and the world have experienced growing prosecutions of intermediaries for cross-border financial crimes.   A U.S. bank was convicted by a Spanish court for moving money in the Pinochet criminal investigation instead of freezing it.  The U.S. and State of New York have ...

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 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 ...

LIBOR Scandal: Update on Current Litigation and Other Consequences for the Financial Industry

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Recorded on: Nov. 19, 2012

Taken from the briefing LIBOR Scandal: Update on Current Litigation and Other Consequences for the Financial Industry (Audio-only) recorded November, 2012. Headlines continue to break as  bid-rigging scandal unfolds, with civil suits and criminal charges quickly following.  A wide range of plaintiffs are attempting to bring class action lawsuits against financial industry participants on this issue.  Significant ...

London Investment Company Act Equity Procedures 2012

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Recorded on: Nov. 27, 2012

Taken from the briefing London Investment Company Act Equity Procedures 2012 recorded November, 2012. The Forum for U.S.  in London () has recently launched the London Equity Procedures 2012 (the “Procedures”), which include a menu of procedures and considerations to be used by issuers in the London market taking advantage of the Section 3(c)(7) exemption under  Act of 1940 for equity securities.  ...

Navigating the Requirements for Derivatives Trading: Title VII of Dodd-Frank

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Recorded on: Mar. 12, 2013

Taken from the briefing Navigating the Requirements for Derivatives Trading: Title VII of Dodd-Frank recorded March, 2013.Now that the rulemaking relating to Title VII of the Dodd-Frank Act has been nearly finalized, market participants are preparing themselves to function in a very different derivatives market.  Title VII imposes a comprehensive regulatory framework for derivatives, and requires both end-users and dealers to adopt ...

Return of Structured Finance and Residential MBS

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Recorded on: Jun. 26, 2013

Taken from the briefing Return of Structured Finance and Residential MBS recorded June, 2013.As the U.S. capital markets continue to gain relative strength and longstanding regulatory uncertainties are resolved, ABS, MBS and covered bond issuers are increasingly inquiring about the prospects for entering these markets once again. The years since the financial crisis have brought sweeping changes in the rules affecting structured finance ...

SEC's Extension of Exemptions for Security-Based Swaps

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Recorded on: May. 1, 2013

Taken from the briefing SEC's Extension of Exemptions for Security-Based Swaps 2013 recorded April, 2013.Among its many important changes to the legal landscape, The Dodd-Frank Act defined the term “security” to include security-based swaps. The SEC has taken a deliberative approach in relation to the effects of this change, and recently extended until February, 2014 the expiration date of certain temporary exemptions and interim final rules ...

Stranger in a Strange Land: CFPB and DOJ Bring Non-Mortgage Products into the Fair and Responsible Lending Fold

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Recorded on: Oct. 11, 2012

Taken from the briefing Stranger in a Strange Land: CFPB and DOJ Bring Non-Mortgage Products into the Fair and Responsible Lending Fold recorded October, 2012. Regulators have long patrolled residential mortgage lending data for compliance with fair lending laws - principally the Fair Housing Act and the Equal Credit Opportunity Act - and “responsible” banking practices, generally meaning practices that are not unfair, deceptive, ...

Understanding Basic Financial Institution Activities

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Recorded on: Feb. 11, 2013

Taken from the Web Program ERISA Fiduciary Investment Basics 2013 NY Recorded February, 2013 in New York Understanding Basic Financial Institution Activities [01:01:27] 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(s) from the Course Handbook available online: Summary of ERISA Prohibited Transaction ...

Featured Faculty/Authors
Nathan A. Schachtman

Nathan A. Schachtman ~ Nathan A. Schachtman, Esq., PC

Gary A. Adler

Gary A. Adler ~ Bingham McCutchen LLP

Sabine Chalmers

Sabine Chalmers ~ Chief Legal & Corporate Affairs Officer, Anheuser-Busch InBev