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Searching Content indexed under Securitization & Structured Finance by Arnold & Porter ordered by Published Date Descending.
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How To Comply With Qualified Financial Contract Rules
In the fall of 2017, the Board of Governors of the Federal Reserve System, the Federal Deposit Insurance Corporation and the Office of the Comptroller of the Currency promulgated new rules...
United States
5 Feb 2019
2
Impact Of The 2018 Mid-Term Elections On Financial Services Regulation
Following historical trends, the first mid-term Congressional election in the Trump Administration has concluded with a new Democratic majority in the House of Representatives.
United States
14 Nov 2018
3
Custody Of Blockchain Securities Under The Federal Securities Laws
Since 2016, a number of companies and indi­viduals have sought to raise capital for business enterprises by conducting Initial Coin Offerings ("ICOs").
United States
7 Sep 2018
4
The Risk Retention Rule: Lsta's Victory And What It Means For CLOs And Other Securitizations
In its February 9, 2018 decision, The Loan Syndications and Trading Association v. Securities and Exchange Commission and Board of Governors of the Federal Reserve System...
United States
1 Mar 2018
5
The Risk Retention Rule: LSTA's Victory And What It Means For CLOs And Other Securitizations
In its February 9, 2018 decision, The Loan Syndications and Trading Association v. Securities and Exchange Commission and Board of Governors of the Federal Reserve System (Court Decision)...
United States
1 Mar 2018
6
House Financial Services Committee Approves Revised "Financial CHOICE Act"
Republicans on the House Financial Services Committee, led by Chairman Jeb Hensarling (R-TX), approved their "Financial CHOICE Act" legislation on a party-line 34-26 vote on May 4...
United States
8 May 2017
7
DOL Delays Fiduciary Rule—But Significant Portions Of New Rule Are Likely To Take Effect In June 2017
On April 7, 2017, the Department of Labor (DOL) published in the Federal Register a final regulation formally announcing the much anticipated delay of the fiduciary rule.
United States
18 Apr 2017
8
FDIC Releases Proposed Examination Guidance For Third-Party Lending
On July 29 the Federal Deposit Insurance Corporation (FDIC) released proposed examination guidelines (Proposal) which, if adopted, could significantly impact marketplace lending platforms and other entities relying upon bank partners.
United States
3 Aug 2016
9
Structured Finance Alert: Proposed Changes To EU Requirements For Securitisations
The role of a Rapporteur within the EU is to present a report that has been adopted by one of the European Parliament's committees, in this case ECON.
European Union
15 Jun 2016
10
Single-Counterparty Credit Exposure Limits and Securitizations
On March 4, 2016, the Federal Reserve Board (Board) proposed single-counterparty credit exposure limits (Proposal) as required by Section 165(e) of the Dodd-Frank Act.
United States
21 Mar 2016
11
Reviving Time-Barred Financial Litigation In State Courts
With the events of the global financial crisis many years in the past, any resulting litigation would be expected to have dried up, as any potential claims should be time-barred by statutes of limitations.
United States
2 Mar 2016
12
Changing Winds: The First Department Jurisprudence On Securities Fraud
When Eugene O'Neill wrote in A Moon For The Misbegotten that, "there is no present or future, only the past, happening over and over again, now," he surely never contemplated practicing law before New York's Appellate Divisions.
United States
3 Dec 2015
13
S&P Receives A One-Year Suspension For MBS Ratings Misconduct
On January 21, 2015, the US Securities and Exchange Commission brought charges for the very first time against a major rating agency...
United States
2 Mar 2015
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