FacultyFaculty/Author Profile
Simon Dodds

Simon Dodds

Deutsche Bank
Co-General Counsel
London, GBR


Simon Dodds is Co-General Counsel at Deutsche Bank AG. Mr. Dodds joined Deutsche Bank in 1999 when Deutsche Bank took over Bankers Trust Company. At that time, he was appointed General Counsel UK, based in London, and from 2001, became General Counsel UK and Western Europe. From 2010 to 2013, Mr. Dodds was Global Head of Compliance at Deutsche Bank; in January 2013, he became Co-Deputy General Counsel; and assumed the role of Co-General Counsel in January 2016. From 1991, Mr. Dodds had been Managing Director in the Legal Department of Bankers Trust Company in London. Before joining Bankers Trust, Mr. Dodds was an Associate at Cleary Gottlieb Steen & Hamilton in New York and London. Mr. Dodds attended Northwestern University School of Law, JD, 1984 and was an undergraduate at Cambridge University.
Simon Dodds is associated with the following items:
CHB Chapters  CHB Chapters AFME Finance for Europe, and UK Finance, Impact of Brexit on Cross-Border Financial Services Contracts (September 2017) - Seventeenth Annual Institute on Securities Regulation in Europe: Practical Implications of U.S. Law on EU Practice, Thursday, February 01, 2018
Additional Relevant Articles (Links) - Seventeenth Annual Institute on Securities Regulation in Europe: Practical Implications of U.S. Law on EU Practice, Thursday, February 01, 2018
Commission Staff Working Document: Review of the Prudential Framework for Investment Firms Accompanying the document “Proposal for a Regulation of the European Parliament and of the Council on the prudential requirements of investment firms and amending Regulations (EU) No 575/2013, (EU) No 600/2014 and (EU) No 1093/2010,” “Proposal for a Directive of the European Parliament and of the Council on the prudential supervision of investment firms and amending Directives 2013/36/EU and 2014/65/EU (European Commission, December 20, 2017, SWD(2017) 481 Final) - Seventeenth Annual Institute on Securities Regulation in Europe: Practical Implications of U.S. Law on EU Practice, Thursday, February 01, 2018
Stephen Lahanas, Dataconomy, Why Organizations Need a Data Strategy (November 24, 2017) - Seventeenth Annual Institute on Securities Regulation in Europe: Practical Implications of U.S. Law on EU Practice, Thursday, February 01, 2018
Consultation Document: FinTech: A More Competitive and Innovative European Financial Sector (European Commission, Investment and Company Reporting: Economic Analysis and Evaluation) - Seventeenth Annual Institute on Securities Regulation in Europe: Practical Implications of U.S. Law on EU Practice, Thursday, February 01, 2018
Information Commissioner’s Office, Preparing for the General Data Protection Regulation (GDPR): 12 Steps to Take Now (Version 2.0) - Seventeenth Annual Institute on Securities Regulation in Europe: Practical Implications of U.S. Law on EU Practice, Thursday, February 01, 2018
Katie Britton, Lindsey Dawkes, Simon Debbage, and Talib Idris, Bank of England, Quarterly Bulletin, 4th Quarter, Ring-fencing: What Is It and How Will It Affect Banks and Their Customers? (2016) - Seventeenth Annual Institute on Securities Regulation in Europe: Practical Implications of U.S. Law on EU Practice, Thursday, February 01, 2018
Information Commissioner’s Office, Big Data, Artificial Intelligence, Machine Learning and Data Protection - Seventeenth Annual Institute on Securities Regulation in Europe: Practical Implications of U.S. Law on EU Practice, Thursday, February 01, 2018
Bank of England, Why Are Retail Banks Being ‘Ring-Fenced’ and How Will This Affect Me? - Seventeenth Annual Institute on Securities Regulation in Europe: Practical Implications of U.S. Law on EU Practice, Thursday, February 01, 2018
Amit Garg, Davide Grande, Gloria Macias-Lizaso Miranda, Christoph Sporleder and Eckart Windhagen, Analytics in Banking: Time to realize the value (April 2017) - Seventeenth Annual Institute on Securities Regulation in Europe: Practical Implications of U.S. Law on EU Practice, Thursday, February 01, 2018
Keynote Address by Verena Ross, Executive Director: AFME European Compliance and Legal Conference, London (European Securities and Markets Authority, September 20, 2017, ESMA71-319-53) - Seventeenth Annual Institute on Securities Regulation in Europe: Practical Implications of U.S. Law on EU Practice, Thursday, February 01, 2018
Financial Conduct Authority: A Better View, Speech by Mark Steward, Director of Enforcement and Market Oversight at the FCA, Delivered at the AFME European Compliance and Legal Conference 2017 (September 20, 2017) - Seventeenth Annual Institute on Securities Regulation in Europe: Practical Implications of U.S. Law on EU Practice, Thursday, February 01, 2018
Web Segment  Web Segment In-House Views: Navigating the Regulatory Landscape - Seventeenth Annual Institute on Securities Regulation in Europe: Practical Implications of U.S. Law on EU Practice, Wednesday, February 07, 2018
MP3 Audio  MP3 Audio In-House Views: Navigating the Regulatory Landscape - In-House Views: Navigating the Regulatory Landscape, Wednesday, February 07, 2018
MP4 - Mobile Video Seg  MP4 - Mobile Video Seg In-House Views: Navigating the Regulatory Landscape - In-House Views: Navigating the Regulatory Landscape, Wednesday, February 07, 2018
On-Demand Web Programs  On-Demand Web Programs Seventeenth Annual Institute on Securities Regulation in Europe: Practical Implications of U.S. Law on EU Practice, Friday, February 09, 2018, London
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