Search for: "Frank Banks" Results 1861 - 1880 of 5,206
Sort by Relevance | Sort by Date
RSS Subscribe: 20 results | 100 results
7 Jan 2015, 1:50 pm by Ray Frager
(AP) The House has rejected legislation altering a key provision of the 2010 Dodd-Frank overhaul of financial services regulations that would give U.S. banks another two years  —  to 2019 — to ensure that their holdings of certain complex and risky securities don’t put them afoul of a new banking regulation. [read post]
6 Jan 2015, 4:14 am by Kevin LaCroix
The year just ended was an eventful one in the world of directors’ and officers’ liability. [read post]
6 Jan 2015, 3:29 am by Broc Romanek
The article also handicaps the odds of crowdfunding and other Dodd-Frank rules. [read post]
3 Jan 2015, 9:53 am by James Hamilton
The President has signed legislation carving out insurers from Dodd-Frank Act bank capital standards. [read post]
28 Dec 2014, 9:30 pm by RegBlog
Dodd-Frank’s Regulatory Morass Roberta Romano (Yale Law School) | November 10 Four years after enactment, all 280 of the Dodd-Frank Act’s specified rulemaking deadlines have elapsed, with 45% having been missed. [read post]
28 Dec 2014, 4:13 pm by Sabrina I. Pacifici
Although much of the focus of the Dodd-Frank Act is on re-organizing and simplifying banks, we will focus here on the information architecture issues which underlie much of what should — and will — change about how law is delivered, not just for Resolution Planning, but more broadly. [read post]
22 Dec 2014, 10:41 am by Edward Eisert
On December 18, the Federal Reserve Board announced that it has acted under Section 619 of the Dodd-Frank Wall Street Reform and Consumer Protection Act, commonly known as the Volcker Rule, to give banking entities until July 21, 2016, to conform investments in and relationships with covered funds (i.e., most private equity and hedge funds) and foreign funds that were in place prior to December 31, 2013 (“Legacy Covered Funds”). [read post]
19 Dec 2014, 5:11 am by Barbara S. Mishkin
  The UDAAP counts are asserted by the CFPB and the state AGs under Section 1042 of Dodd-Frank. [read post]
19 Dec 2014, 3:30 am by Broc Romanek
Revising the rules so that savings & loan holding companies are treated in a similar manner to banks and bank holding companies for the purposes of registration, termination of registration, or suspension of their Exchange Act reporting obligations 3. [read post]
16 Dec 2014, 9:05 pm by Walter Olson
Tweet Tags: banks, Delaware, Dodd-Frank, Elizabeth Warren, extraterritoriality, Operation Choke Point, Securities and Exchange Commission, taxesBanking and finance roundup is a post from Overlawyered - Chronicling the high cost of our legal system [read post]
14 Dec 2014, 1:02 pm by James Hamilton
H.R. 3329 would direct the Federal Reserve to increase the qualifying asset threshold of the Fed’s Small Bank Holding Company Policy Statement from $500 million to up to $1 billion, enabling small bank holding companies with under $1 billion in assets to be regulated under the Small Bank Holding Company Statement, which allows simplified reporting requirements and less stringent capital standards that reflect the traditional banking services that these… [read post]
13 Dec 2014, 12:36 am by Jon Gelman
Today's post was shared by Steven Greenhouse and comes from www.washingtonpost.com Bill Clinton changed the Democratic Party, and Elizabeth Warren is trying to change it back — at least when it comes to Wall Street.The latest intra-party skirmish has come over the so-called "CRomnibus" (don't ask) spending bill that would have funded the government for the next year, as well as, among other pet projects, killed Dodd-Frank's prohibition on big banks… [read post]
12 Dec 2014, 2:03 pm by Joe Patrice
Hilarious satirical piece by John Frank Weaver. [read post]
11 Dec 2014, 10:19 am by Julie Eum
  The Proposed Rule is one of several enhanced prudential standards developed by the Board in accordance with Section 165 of the Dodd-Frank Wall Street Reform and Consumer Protection Act. [read post]
10 Dec 2014, 7:37 pm by Adam Levitin
Section 716 might be thought of as the "Banks Aren't Casinos" provision of Dodd-Frank. [read post]
10 Dec 2014, 9:00 am by Paul Rugani
The communications at issue in Ambac took place in the context of Bank of America’s merger with Countrywide. [read post]
6 Dec 2014, 2:14 pm by James Hamilton
The Senate report lists a number of Dodd-Frank Act provisions that have the potential to restrict or reshape bank involvement with physical commodities. [read post]
5 Dec 2014, 4:50 pm by Sabrina I. Pacifici
Mester, president and CEO of the Federal Reserve Bank of Cleveland. [read post]
5 Dec 2014, 7:34 am by Allison Tussey
Lombardo is expected to be presented in federal court in Manhattan before Chief United States Magistrate Judge Frank Maas. [read post]