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Banking Law Institute 2013
Lee A. Meyerson, William J. Sweet Jr.
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Table of Contents
Table of Contents
Chapter 1. Bank M&A in the New Regulatory Landscape
Chapter 2. Capital and Liquidity Regulation and Reform—An Update (September 30, 2013)
Chapter 3. Banks, Bank and Financial Holding Companies and Physical Commodities—Volcker Rule Implications
Chapter 4. Materials Submitted by William J. Sweet, Jr., Skadden, Arps, Slate, Meagher & Flom LLP
Chapter 5. CFPB Investigations in Focus: Navigating CIDs (July 11, 2013)
Chapter 6. CFPB’s Vague New ‘Responsible Conduct’ Guidelines (June 28, 2013)
Chapter 7. Materials Submitted by William J. Sweet, Jr., Skadden, Arps, Slate, Meagher & Flom LLP
Chapter 8. Clearly Gottlieb Client Memorandum—The Federal Reserve’s Proposed Framework for Regulation of Foreign Banks: Issues for Comment and Consideration (January 2, 2013)
Chapter 9. 12 CFR Part 252—Enhanced Prudential Standards and Early Remediation Requirements for Foreign Banking Organizations and Foreign Nonbank Financial Companies; Proposed Rule (Vol. 77, No. 249, Friday, December 28, 2012)
Chapter 10. Inst. of International Bankers Comment Letter to the Bd. of Governors of Federal Reserve System RE: Regulation YY: Enhanced Prudential Standards and Early Remediation Requirements for Foreign Banking Orgs. and Foreign Nonbank Financial Cos.
Chapter 11. Barclays Comment Letter to the Board of Governors of the Federal Reserve System RE: Enhanced Prudential Standards and Early Remediation Requirements for Foreign Banking Organizations and Foreign Nonbank Financial Companies; Proposed Rule (April 30, 2013)
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