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  • Issues | Legal
  • Published: June 25th, 2018

What You Should Know About Recent Trends in 401(k) Fee Litigation

Suits are growing in number and focus, including similar 403(b) plans.

  • Issues | Liability
  • Published: April 6th, 2016

Could Your 401(k) Plan Come Back to Bite You?

Dory Wiley, the president and CEO of Commerce Street Holdings, writes about protecting your bank in an age of 401(k) lawsuits.

  • Issues | Risk
  • Published: June 12th, 2019

Two-Thirds of Bank Directors Are Worried About the Same Thing

Rising rates and the threat of a looming recession are on bank directors’ minds, but they’re not the top concern.

  • Issues | Regulation
  • Published: April 13th, 2016

How Will New Fiduciary Rules Impact the Bank?

Some think the Department of Labor’s new rules will fundamentally change asset management and some trust divisions.

  • Issues | Strategy
  • Published: April 22nd, 2016

How to Protect Your Bank in a Sale: Reverse Due Diligence

It’s no longer enough for the buyer alone to worry about due diligence.

  • Issues | Bank M&A
  • Published: November 21st, 2014

Selling Your Bank? How to Manage the Regulatory Headaches

Arnold & Porter attorneys write about how to make sure your M&A deal is regulator-proof.

  • Committees | Governance
  • Published: July 11th, 2016

How Fintech Is Co-opting the Banking Industry’s Directors and What to Do About It

Manatt’s Craig Miller writes about banking industry insiders taking director posts at fintech companies, and how the banking industry should respond.

  • Issues | Bank M&A
  • Published: February 18th, 2015

Don't Sell the Bank

When was the last time you were advised NOT to sell your institution? Bank Director President Al Dominick considers the alternative argument.

  • Committees | Compensation
  • Published: August 25th, 2017

A Cautionary Tale for Compensation Committee Members

A consent order levied against the director of a small Wisconsin bank reminds committee members to thoroughly execute their duties.

  • Issues | Bank M&A
  • Published: December 21st, 2015

A New Delaware M&A Case Is a Warning to Investment Bankers: Take Care That You Don’t Mislead the Board

John J. Gorman of the law firm Luse Gorman writes about a new court case that impacts liability in M&A cases.