Joyce Hansen: Analyzing the Volcker Rule
American Bar Association Section of International Law - Hyatt Regency on Capitol HIll
The Aftermath of the Financial Crisis: Part 1
The Regulatory Response: New Regulation of Hedge Funds and Private Equity Funds; Changes in the Regulation of Banks; and Extra-Territorial Reach of National Securities and Banking Laws
The financial meltdown is still being felt around the world every day. It has impacted on the way business is being done by market participants, including hedge funds and private equity funds and banks, and it has prompted several regulatory responses across the world, including new proposals and regulations in the U.S. and the EU. Part 1 of this panel of high-level experts, all with their unique international experience and point of view, will examine regulatory changes and their effectiveness in preventing future financial crises. Part 2 of the panel will discuss recent enforcement and litigation cases in the aftermath of the financial crisis. Part 3 will present a mock trial relating to recent CDO litigation.
Sponsoring Committees:
International Securities and Capital Markets Committee, Foreign Legal Consultant Committee, International M&A Joint Venture Committee, International Financial Products and Services Committee, International Secured Transactions & Insolvency Committee
Program Chairs & Moderators:
MEYER "MIKE" EISENBERG
Columbia Law School and Willamette University Law School
New York, New York
DOROTHEE FISCHER-APPELT
Gibson, Dunn & Crutcher LLP
London, United Kingdom
Speakers:
HARVEY GOLDSCHMID
Columbia Law School
New York, New York
JOYCE HANSEN
Deputy General Counsel, Federal Reserve Bank of New York
New York, New York
NORA M. JORDAN
Davis Polk & Wardwell LLP
New York, New York
GIOVANNI PREZIOSO
former General Counsel of the U.S. Securities and Exchange Commission and Cleary Gottlieb Steen & Hamilton LLP
Washington, DC
ELISSE B. WALTER
Commissioner, U.S. Securities and Exchange Commission
Washington, DC