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Financial Institutions Answer Book: Law, Governance, Compliance (2013 Edition)

Author(s): Stuart G. Stein, Richard Schaberg, Laura R. Biddle, Daniel S Meade
Practice Area: Banking and finance, Corporate law, Securities and other financial products
Date: Dec 2012 i Other versions can be found in the Related Items tab.
ISBN: 9781402419065
PLI Item #: 38517

Reflecting the many statutory and regulatory changes made since the beginning of the recent economic downturn, the newly published Financial Institutions Answer Book 2013 provides, in a handy Q&A format, a comprehensive overview of the complex federal requirements regulating financial institutions in the United States. Every aspect of a financial institution life cycle is covered, from understanding the differences in regulation based on what type of charter is chosen, through ongoing capital and deposit activities requirements and major changes in corporate control, to the cessation of entity activity through merger, acquisition or entity failure.

Financial Institutions Answer Book 2013 covers the entire spectrum of financial institution regulation, including:

  • Those regulating the creation of branch offices
  • Corporate governance
  • Executive compensation
  • Deposit insurance requirements
  • Insider and affiliate transactions
  • Anti-money laundering and U.S. trade sanctions
  • Examination and audit
  • Privacy and data security.

Written by leading practitioners in this complex area, Financial Institutions Answer Book 2013 is an up-to-date guide to this fast-changing area of the law. It provides an excellent desk reference for the experienced practitioner, as well as a comprehensive introduction for the attorney new to the practice area.

Stuart Stein was previously the global co-head of the Hogan Lovells Corporate practice group. His practice primarily involves representing clients in a variety of corporate and securities matters, such as corporate governance (including proxy contests and other hostile stockholder matters), mergers and acquisitions, initial and follow-on public offerings, and other public and private financing transactions, as well as SEC and other governmental regulatory interactions. Stuart also advises clients on various legislative and government regulatory matters. Formerly qualified as a Certified Public Accountant (VA), Stuart brings a unique perspective to Board and company advice.

Stuart has served as lead counsel on some of the world's most complex M&A matters and largest security offerings. He also advises corporate directors in connection with governance and fiduciary responsibility issues, particularly as they arise in the context of activist and other shareholder strategies and relations. He assists boards of directors, directors' committees (both customary and special committees), and individual directors as they define and perform their obligations, and develop strategies for addressing hostile and other attempts to derail corporate business plans. He advises on director fiduciary duties, general obligations, and liabilities; corporate governance, compliance, and ethics; transactional considerations; and crisis management, special investigations, and events.

For more than 30 years, Rich has played a lead role for clients in connection with debt and equity offerings, M&A, corporate governance matters, proxy contests, securities law compliance, and exchange listing standards. Synthesizing his deep corporate transactional experience with an acute and seasoned knowledge of bank regulatory issues, he provides valued business solutions for regulated banking and financial services clients.

Rich practices before the Securities Exchange Commission (SEC), all federal banking agencies – including the OCC, Federal Reserve, FDIC, and NCUA – and most state banking agencies.