Former regulators discussed federal and state efforts to regulate the consumer financial services market in a period of both swift innovation and an increased focus on equity and fairness, and Jeff Naimon discusses the impact of ESG on lending and overall compliance governance.
Sarah Schaedler and Jennifer Criss will be leading a roundtable discussion on Recognizing and Mitigating IP Traps in M&A Transactions.
James Parkinson joined a panel, “Do the new data laws make corporate internal investigations impossible?,” at the annual conference of the International Bar Association’s Anti-Corruption Committee, held at the headquarters of the Organization for Cooperation and Development (OECD).
Daniel Bellovin joined a panel of industry experts that provided insights on flood insurance regulation and compliance, a review of recent enforcement actions, the impact of Risk Rating 2.0, and current compliance challenges for financial institutions.
Steven vonBerg joined a panel of industry experts to discuss regulatory concerns, including updates on FHFA’s scaling back of second home and investment property mortgages, CFPB priorities, the CDFI no-doc loan program, and fair lending issues.