U.S. Regulatory Developments for Non-U.S. Banks

04/29/2014 05:00 p.m. - 06:30 p.m.

Banking + Financial Services, Corporate Finance | Capital Markets, Financial Institutions | Europe, Financial Institutions + Financial Services, and Debt Offerings + 144A Offerings

Morrison & Foerster, LLP
CityPoint
One Ropemaker Street
London EC2Y 9AW
United Kingdom

Peter J. GreenOliver I. Ireland, and Jeremy C. Jennings-Mares

Peter J. GreenOliver I. Ireland, and Jeremy C. Jennings-Mares

Seminar

Download Presentation Materials

Alexa Powers
alexapowers@mofo.com
(212) 336-4312

Following the adoption of the Dodd-Frank Act, non-U.S. banks have been faced with the challenge of complying with regulations in their home countries as well as complying with U.S. regulations.

Topics of discussion will include:

  • The status of Dodd-Frank Act implementation,
  • The Volcker Rule’s application to foreign banks,
  • The Federal Reserve’s enhanced prudential standard requirements for foreign banks,
  • Title VII of the Dodd-Frank Act, and
  • European regulatory developments.

Speakers:

  • Peter Green
  • Oliver Ireland
  • Jeremy Jennings-Mares

Hors d’oeuvres will be served.

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