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Dodd-Frank and Other International Developments Affecting the Global Financial System After the Crisis

The global financial crisis has sparked sweeping changes in the regulation of the financial system. The New York City Bar organized a series of panels on October 27th and 28th, 2010, to discuss developments in key areas, including: capital, resolution, regulation, proprietary trading, derivatives and compensation. The panels were targeted to inside and outside legal counsel, consultants, financial professionals and members of the regulatory and academic communities.


Wednesday, October 27, 2010

Dodd-Frank - Day 1, Panel 1 - Supervision and Examination in the Post-Crisis World 10-27-2010 MP3
Brian Peters, Senior Vice President, Federal Reserve Bank of New York; Deborah P. Bailey, Director, Bank Regulatory, Deloitte & Touche LLP; Erin Mansfield, Barclays Capital

Dodd-Frank - Day 1, Panel 2 - Resolution and Living Wills 10-27-2010 MP3
Seth Grosshandler, Cleary Gottlieb Steen & Hamilton LLP; Rebecca J. Simmons, Sullivan & Cromwell LLP; Andrew V. Waskow, Vice President, Associate General Counsel, Goldman Sachs & Co.; Reena Agrawal Sahni, Davis Polk & Wardwell LLP; Seth Grosshandler, Cleary Gottlieb Steen & Hamilton LLP; Rebecca J. Simmons, Sullivan &

Dodd-Frank - Day 1, Panel 3 - Consumer Protection 10-27-2010 MP3
Elizabeth McCaul, CEO of Promontory Europe, Partner-in-Charge, New York Office, Promontory Financial Group; Charles F. Bowman, Global Compliance Risk Executive, North Carolina Market President, Charlotte Market, President,Bank of America; Barbara Kent, President, Coalition for Debtor Education, New York Law School, David Luigs, Counsel in Banking Group and Financial Institutions Group, Debevoise & Plimpton LLP

Dodd-Frank - Day 1, Panel 4 - Volcker Rule 10-27-2010 MP3
Randall D. Guynn, Davis Polk & Wardwell LLP; Michael M. Wiseman, Sullivan & Cromwell LLP; Donald A. Bendernagel, Managing Director and Counsel, Citigroup Capital Markets

Dodd-Frank - Day 1, Panel 5 - Derivatives Trading and Clearing 10-27-2010 MP3
Bryan Murtagh, UBS AG; Kenneth Raisler, Sullivan & Cromwell LLP; John Ramsay, Deputy Director, Division of Trading and Markets, Securities and Exchange Commission; Steven M. Bunkin, Managing Director and Associate General Counsel, Goldman Sachs & Co.

Dodd-Frank - Day 1, Panel 6 - European Perspectives on the Post-Crisis Banking Market 10-27-2010 MP3
Daniel Daeniker, Homburger AG; Charles Randell, Slaughter and May; Wolfgang Feuring, Sullivan & Cromwell LLP; Robin Maxwell, Linklaters LLP

Thursday, October 28, 2010

Dodd-Frank - Day 2, Panel 1 - Capital Liquidity Requirements 10-28-2010 MP3
Mark J. Welshimer, Sullivan & Cromwell LLP; Robert E. Motyka, Senior Project Manager, Board of Governors of the Federal Reserve System; Jim Mannoia, Vice President, Goldman Sachs & Co.

Dodd-Frank - Day 2, Panel 2 - What if There Were Another Lehman or AIG Weekend 10-28-2010 MP3
Thomas C. Baxter, Jr., Executive Vice President and General Counsel, Federal Reserve Bank of New York; Marshall S. Huebner, Davis Polk & Wardwell LLP; George W. Madison, General Counsel, U.S. Department of the Treasury

Dodd-Frank - Day 2, Panel 3 - M & A Landscape 10-28-2010 MP3
Mitchell S. Eitel, Sullivan & Cromwell LLP; Maripat Alpuche, Simpson Thacher & Bartlett LLP; Nicholas G. Demmo, Wachtell, Lipton, Rosen & Katz, Brad Whitman, Co-Head of Financial Institutions M&A, Barclays Capital, William L. Taylor, Davis Polk & Wardwell LLP

Dodd-Frank - Day 2, Panel 4 - Role of Rating Agencies 10-28-2010 MP3
Jamie L. Kogan, Associate General Counsel, Moody’s Investors Service; Ronald O. Mueller, Partner, Gibson, Dunn & Crutcher; Francis Phillip, Fitch Ratings

Dodd-Frank - Day 2, Panel 5 - Compensation Programs 10-28-2010 MP3
Jeffrey J. Hurd, Head of Human Resources, AIG; Mitchell Schultz, Global Head of Compensation and Benefits, AIG; Alan Johnson, Managing Director, Johnson Associates; Marc R. Trevino, Sullivan & Cromwell LLP