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  • Issues | M&A
  • Published: February 22nd, 2011

The fall continues for WaMu

  • Issues | Regulation
  • Published: August 30th, 2011

Living Wills for Large Banks and Systemically Important Institutions: a Blueprint

With a likely deadline of July 21, 2012 approaching, this checklist will assist U.S. bank holding companies with more than $50 billion in assets in submitting a living will.

  • Issues | M&A
  • Published: December 14th, 2010

Pros & Cons of Traditional M&A vs. FDIC-Assisted Transactions

Rick Childs, director for Crowe Horwath LLP's financial advisory services group, discusses the pros and cons of traditional M&A vs. FDIC-Assisted transactions as potential growth options in 2011.

  • Issues | M&A
  • Published: September 23rd, 2013

Why Small Banks Will Consolidate

Austin Associates’ Rick Maroney predicts 20 percent consolidation in the banking industry in the next five years, much of that in the small bank space.

  • Issues | Liability
  • Published: February 14th, 2011

D&O insurance: hope for the best, prepare for the worst

Dennis Gustafson, SVP & Financial Institutions Practice Leader of AH&T Insurance, explores how changes at an institution can impact its risk profile as perceived by the underwriters.

  • Issues | Liability
  • Published: May 8th, 2013

FDIC Lawsuits Trending Upward

Cornerstone Research analyzes the trends in FDIC lawsuits against directors and officers of financial institutions.

  • Issues | M&A
  • Published: May 25th, 2011

Buying into trouble? Experts give their advice on FDIC acquisitions

Buying a failed bank can be a brutal experience. There may be opportunity to grow your bank, but there also is risk and hard work to do in a short amount of time.

  • Issues | Regulation
  • Published: January 6th, 2012

Regulatory Relations: Dos and Don’ts for the Board

John Geiringer from the Chicago-based law firm of Barack Ferrazzano outlines what the board should and should not do when engaging with the regulators.

  • Issues | Liability
  • Published: January 4th, 2011

What Keeps Directors Up at Night

John Geiringer and Scott Porterfield from Chicago-based law firm, Barack Ferrazzano, review the potential substantive and procedural issues arising out of the claims that the FDIC is making against directors and officers of failed banks.

  • Issues | Liability
  • Published: February 19th, 2014

FDIC D&O Lawsuits Surge in 2013

Cornerstone Research reviews the trends in the Federal Deposit Insurance Corp.’s lawsuits against bank directors and officers.

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