transcript   Transcript

The Volcker Rule - The Washington Perspective

Recorded on: May. 11, 2018
Running Time: 01:03:48

Full Transcript:

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Taken from the Web Program The Volcker Rule 2018: What It Means for Financial Institutions and Markets Recorded May, 2018 in New York [01:03:48]
  • How is the change in administration affecting the agencies’ implementation of the Rule?
  • How are the regulators providing and coordinating advice on the Rule?
  • What are some of the top-priority issues the agencies’ working group is focused on?
  • How are examinations for compliance proceeding and what issues have been identified?
  • What is the significance of the Treasury Report?
  • What are the consequences of non-compliance?

Andrew R. Bernstein, Tabitha Edgens, Anna M. Harrington, Erik F. Remmler

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

  • Client Update: Bipartisan Consensus Emerges on Bank Regulatory Relief (November 28, 2017)
    Satish M. Kini
  • OCC Seeks Input on Revising Volcker Regulations (August 3, 2017)
    Derek M. Bush
  • Materials from Skadden, Arps, Slate, Meagher & Flom LLP
    William J. Sweet
  • The Federal Reserve’s Regulatory Agenda for Foreign Banking Organizations: What Lies Ahead for Enhanced Prudential Standards and the Volcker Rule (March 5, 2018)
    William J. Sweet
  • Letter from Paul Volcker (February 21, 2018)
    William J. Sweet
Andrew R. Bernstein ~ Senior Special Counsel, Division of Trading and Markets, U.S. Securities and Exchange Commission
Tabitha Edgens ~ Senior Attorney, Office of the Comptroller of the Currency
Anna M. Harrington ~ U.S. Head of Bank Regulatory Policy, Director (Legal), Board of Governors of the Federal Reserve System
Erik F. Remmler ~ Deputy Director, Registration and Compliance, Division of Swap Dealer and Intermediary Oversight, U.S. Commodity Futures Trading Commission
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