Banking & Finance Law Overview
Banking & Finance Law Resources
Related Practice Areas
In the United States, banking and finance law applies to those individuals and institutions that lend or borrow money. Lenders typically include banks, leasing companies, finance companies and other financial institutions. Borrowers are individuals, corporations, institutions or the government. Because financial transactions touch a broad range of business activities, issues in banking and finance law often intersect with complex business, corporate and real estate law. Significant areas of banking and finance law also include bank regulation, loans, acquisition finance, real estate finance and international banking transactions.
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- Chase Bank USA, N.A. v. Allegro Law, LLC et al
New York Eastern District Court
Banks and Banking
Filed: October 3, 2008
Plaintiff: Chase Bank USA, N.A. Defendant: Allegro Law, LLC, Keith Anderson Nelms, Americorp, Inc.
(October 2, 2008) - RYH Properties LLC et al v. West et al
Texas Eastern District Court
Securities/Commodities/Exchanges
Filed: October 3, 2008
Plaintiff: RYH Properties LLC, Greg Y Henry Defendant: Bruce R West, Sr, Bruce R West, Jr, JR Realty Corp, D Aaron Buck, Laura Sinclair Manning and others...
(October 2, 2008) - Giant Trading, Inc. et al v. International Fuel Technology, Inc. et al
Florida Southern District Court
Securities/Commodities/Exchanges
Filed: October 2, 2008
Plaintiff: Giant Trading, Inc., David R Friedland, magnum Select Fund, LTD, Magnum Growth Fund, Brett Friedland and others...; Defendant: International Fuel Technology, Inc., Jonathan R Burst, Rex Carr, Harry Demetriou
(October 1, 2008) - Bankruptcy Management Solutions, Inc. et al v. Goldman Sachs Group, Inc. et al
New York Southern District Court
Securities/Commodities/Exchanges
Filed: October 2, 2008
Plaintiff: Bankruptcy Management Solutions, Inc., Bankruptcy Management Solutions, Inc., OCWEN Financial Corporation, OCWEN Financial Corporation Defendant: Goldman Sachs Group, Inc., Goldman Sachs & Co.
(October 1, 2008) - Bamburg et al v. Axis Onshore L P et al
Louisiana Western District Court
Securities/Commodities/Exchanges
Filed: October 2, 2008
Plaintiff: Milton Bamburg, Gettie Sue Bamburg; Defendant: Axis Onshore L P, T D E Subsidiary G P L L C, Tridimension Energy L P, T D E Operating G P L L C, Stanley Cooper and others...
(October 1, 2008)
Legislation 
- Bill Sent To President: H.R.1424 Emergency Economic Stabilization Act of 2008
A bill to provide authority for the Federal Government to purchase and insure certain types of troubled assets for the purposes of providing stability to and preventing disruption in the economy and financial system and protecting taxpayers, to amend the Internal Revenue Code of 1986 to provide incentives for energy production and conservation, to extend certain expiring provisions, to provide individual income tax relief, and for other purposes.
October 03, 2008: Cleared for White House.
(October 1, 2008) - Bill Introduced: H.R.6853 Nationwide Mortgage Fraud Task Force Act of 2008
A bill to establish in the Federal Bureau of Investigation the Nationwide Mortgage Fraud Coordinator to address mortgage fraud in the United States, and for other purposes.
(September 7, 2008) - Bill Introduced: S.3445 Comprehensive Iran Sanctions, Accountability, and Divestment Act of 2008
An original bill to impose sanctions with respect to Iran, to provide for the divestment of assets in Iran by State and local governments and other entities, to identify locations of concern with respect to transshipment, reexportation, or diversion of certain sensitive items to Iran, and for other purposes.
(July 30, 2008) - Bill Introduced: S.Res.642 A resolution to authorize the production of records by the Permanent ...
A resolution to authorize the production of records by the Permanent Subcommittee on Investigations of the Committee on Homeland Security and Governmental Affairs.
(July 29, 2008) - Bill Introduced: S.3372 Saver's Bonus Act of 2007
A bill to promote savings by providing a match for eligible taxpayers who contribute to savings products and to facilitate taxpayers receiving this match and open a bank account when they file their Federal income tax returns.
(July 29, 2008)
Regulations 
- Rule - Rules of Practice for Hearings
Federal Reserve System
Rule
Rules of Practice for Hearings,
58031-58032 [E8-23527]
FEDERAL RESERVE SYSTEM 12 CFR Part 263 [Docket No. R-1333] Rules of Practice for Hearings AGENCY: Board of Governors of the Federal Reserve System. ACTION: Final rule. SUMMARY: The Board of Governors of the Federal Reserve System (the Board) is amending its rules of practice and procedure to adjust the maximum amount, as set by statute, of each civil money penalty (CMP) within its jurisdiction to account for inflation. This action is required under the Federal Civil Penalties Inflation... [read document]
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(October 5, 2008) - Rule - Foreign Issuer Reporting Enhancements
Securities and Exchange Commission
Rule
Foreign Issuer Reporting Enhancements,
58300-58327 [E8-22760]
Part II Securities and Exchange Commission 17 CFR Parts 230, 239, et al. Foreign Issuer Reporting Enhancements; Final Rule SECURITIES AND EXCHANGE COMMISSION 17 CFR Parts 230, 239, 240 and 249 [Release Nos. 33-8959; 34-58620; International Series Release No. 1310; File No. S7-05-08] RIN 3235-AK03 Foreign Issuer Reporting Enhancements AGENCY: Securities and Exchange Commission. ACTION: Final rule. SUMMARY: We are adopting a number of amendments to our rules relating to foreign private issuers... [read document]
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(October 5, 2008) - Rule - Reserve Requirements of Depository Institutions
Federal Reserve System
Rule
Reserve Requirements of Depository Institutions,
57488-57490 [E8-22944]
FEDERAL RESERVE SYSTEM 12 CFR Part 204 [Regulation D; Docket No. R-1297] Reserve Requirements of Depository Institutions AGENCY: Board of Governors of the Federal Reserve System. ACTION: Final rule. SUMMARY: The Board is amending Regulation D, Reserve Requirements of Depository Institutions, to reflect the annual indexing of the reserve requirement exemption amount and the low reserve tranche for 2009. The Regulation D amendments set the amount of total reservable liabilities of each depository... [read document]
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(October 2, 2008) - Rule - Item 407 of Regulation S-K; Technical Amendment
Securities and Exchange Commission
Rule
Item 407 of Regulation S-K; Technical Amendment,
57237-57238 [E8-23057]
SECURITIES AND EXCHANGE COMMISSION 17 CFR Part 229 [Release Nos. 33-8961; 34-58656] Technical Amendment to Item 407 of Regulation S-K AGENCY: Securities and Exchange Commission. ACTION: Final rule; technical amendment. SUMMARY: The Securities and Exchange Commission (``Commission'') is making a technical amendment to Item 407 of Regulation S-K. The technical amendment updates a reference to Independence Standards Board Standard No. 1 (``ISB No. 1''), which was previously adopted by the Public... [read document]
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(October 1, 2008) - Proposed Rule - Regulatory Flexibility Regarding Ownership of Fixed Assets
National Credit Union Administration
Proposed Rule
Regulatory Flexibility Regarding Ownership of Fixed Assets,
57013-57014 [E8-23039]
Proposed Rules Federal Register NATIONAL CREDIT UNION ADMINISTRATION 12 CFR Parts 701 and 742 RIN 3133-AD53 Regulatory Flexibility Regarding Ownership of Fixed Assets AGENCY: National Credit Union Administration (NCUA). ACTION: Proposed rule. SUMMARY: NCUA proposes to amend its Regulatory Flexibility (RegFlex) Program to provide additional flexibility to qualifying federal credit unions (FCUs) when acquiring unimproved land for future expansion. Currently, when an FCU acquires unimproved land... [read document]
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(September 30, 2008)
Government 
- Notice - Application: Fixed Income Clearing Corp
Securities and Exchange Commission
Notice
Application:
Fixed Income Clearing Corp.,
58698-58700 [E8-23688]
SECURITIES AND EXCHANGE COMMISSION [Release No. 34-58696; File No. SR-FICC-2008-04] Self-Regulatory Organizations; Fixed Income Clearing Corporation; Notice of Filing and Immediate Effectiveness of Proposed Rule Change To Amend the Rules of the Government Securities Division To Expand the Types of Securities Eligible for the GCF Repo Service September 30, 2008. Pursuant to Section 19(b)(1) of the Securities Exchange Act of 1934 (``Act''),\1\ notice is hereby given that on September 9, 2008, the... [read document]
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(October 6, 2008) - Notice - Formations of, Acquisitions by, and Mergers of Bank Holding Companies
Federal Reserve System
Notice
Formations of, Acquisitions by, and Mergers of Bank Holding Companies,
58592 [E8-23645]
FEDERAL RESERVE SYSTEM Formations of, Acquisitions by, and Mergers of Bank Holding Companies The companies listed in this notice have applied to the Board for approval, pursuant to the Bank Holding Company Act of 1956 (12 U.S.C. 1841 et seq.) (BHC Act), Regulation Y (12 CFR Part 225), and all other applicable statutes and regulations to become a bank holding company and/or to acquire the assets or the ownership of, control of, or the power to vote shares of a bank or bank holding company and... [read document]
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(October 6, 2008) - Notice - Meetings; Sunshine Act
Federal Reserve System
Notice
Meetings; Sunshine Act,
58592 [E8-23893]
Federal Reserve System Sunshine Act Meeting AGENCY HOLDING THE MEETING: Board of Governors of the Federal Reserve System. TIME AND DATE: 11:30 a.m., Tuesday, October 14, 2008. PLACE: Marriner S. Eccles Federal Reserve Board Building, 20th and C Streets, N.W., Washington, D.C. 20551. STATUS: Closed. MATTERS TO BE CONSIDERED: 1. Personnel actions (appointments, promotions, assignments, reassignments, and salary actions) involving individual Federal Reserve System employees. 2. Any items carried... [read document]
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(October 6, 2008) - Notice - Application: Eaton Vance Floating-Rate Income Trust, et al
Securities and Exchange Commission
Notice
Application:
Eaton Vance Floating-Rate Income Trust, et al.,
58691-58694 [E8-23672]
SECURITIES AND EXCHANGE COMMISSION [Release No. IC-28431; 812-13540] Eaton Vance Floating-Rate Income Trust, et al.; Notice of Application October 2, 2008. AGENCY: Securities and Exchange Commission (``Commission''). ACTION: Notice of application for an order under section 6(c) of the Investment Company Act of 1940 (``Act'') for an exemption from sections 18(a)(1)(A) and (B) of the Act. Applicants: Eaton Vance Floating-Rate Income Trust, Eaton Vance Senior Floating-Rate Trust, Eaton Vance... [read document]
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(October 6, 2008) - Notice - Application: Aberdeen Asset Management Inc. and Aberdeen Funds, et al
Securities and Exchange Commission
Notice
Application:
Aberdeen Asset Management Inc. and Aberdeen Funds, et al.,
58687-58691 [E8-23691]
SECURITIES AND EXCHANGE COMMISSION [Investment Company Act Release No. 28429; 812-13530] Aberdeen Asset Management Inc. and Aberdeen Funds, et al.; Notice of Application September 30, 2008. AGENCY: Securities and Exchange Commission (``Commission''). ACTION: Notice of application for an order under section 12(d)(1)(J) of the Investment Company Act of 1940 (``Act'') for an exemption from sections 12(d)(1)(A) and (B) of the Act, and under sections 6(c) and 17(b) of the Act for an exemption from... [read document]
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(October 6, 2008)
Articles 
- Shadows of the Past and Back to the Future: Part 11 of the UK Companies Act 2006 (In)Action
European Company and Financial Law Review, 2009 Arad Reisberg University College London - Faculty of Laws Date Posted: September 29, 2008 Last Revised: October 7, 2008
(October 6, 2008) - Prices versus Quantities versus Bankable Quantities
RFF Discussion Paper No. 08-32 Harrison G. Fell , Ian A. MacKenzie and William A. Pizer Resources for the Future , Swiss Federal Institute of Technology, Zurich, CER-ETH - Center of Economic Research at ETH Zurich and U.S. Department of the Treasury Date Posted: September 24, 2008 Last Revised: October 6, 2008
(October 5, 2008) - Imperfect Financial Markets and the Hidden Costs of a Modern Income Tax
Southern Methodist University Law Review, Vol. 62, 2009 Adam H. Rosenzweig Washington University, St. Louis - School of Law Date Posted: October 2, 2008 Last Revised: October 6, 2008
(October 5, 2008) - Do Directors Perform for Pay?
Journal of Accounting & Economics (JAE), Vol. 46, No. 1, 2008 Renee B. Adams and Daniel Ferreira UQ Business School, University of Queensland and London School of Economics & Political Science (LSE) - Department of Management Date Posted: October 6, 2008 Last Revised: October 6, 2008
(October 5, 2008) - Green is Good: Sustainability, Profitability, and a New Paradigm for Corporate Governance
Iowa Law Review, Vol. 94, No. 3, 2009 Judd F. Sneirson University of Oregon - School of Law Date Posted: October 6, 2008 Last Revised: October 6, 2008
(October 5, 2008)
News 
- Nonprofit Groups Will Face More Scrutiny, State Regulators Told
Chronicle of Philanthropy (subscription) - 1 hour ago
Mr. Peregrine noted that nonprofit groups and their trustees have spent recent years successfully adjusting to the 2002 federal Sarbanes-Oxley Act, ...
(October 6, 2008) - PriceSmart Announces September Sales
MarketWatch - 1 hour ago
... and the Company faces increased compliance risks associated with compliance with Section 404 of the Sarbanes-Oxley Act of 2002; as well as the other ...
OccuLogix Announces Closing of Transactions FOXBusiness
all 18 news articles
(October 6, 2008) - Anadarko Provides Capital Markets Update
MarketWatch - 1 hour ago
This news release contains forward-looking statements within the meaning of Section 27A of the Securities Act of 1933 and Section 21E of the Securities ...
(October 6, 2008) - 2K Sports Announces NBA(R) 2K9 Now Available in Retail Stores
MarketWatch - 1 hour ago
This press release may contain forward-looking statements made in reliance upon the safe harbor provisions of Section 27A of the Securities Act of 1933, ...
(October 6, 2008) - Bonaire Software Solutions, LLC REVPORT Product Releases an
Bobsguide (press release), UK - 4 hours ago
Bonaire Software Solutions, LLC today announced that it has released an additional Sarbanes Oxley report for its REVPORT Revenue Management Suite and Fee ...
(October 6, 2008)
Blog Posts 
- Congressional Bailout Bill: Highlights for Financial Service and Public Reporting Companies
October 6, 2008 Printer-friendly version By Ryan J. York On Oct. 3, 2008, President Bush signed into law the "Emergency Economic Stabilization Act of 2008" or the Bailout Bill; the governmental response to the recent troubles in the financial markets. Given the hastiness with which the Bailout Bill was put together by Congress, many of the bill's finer points are yet to be determined and its eventual impact on the financial crisis is unknown. However, several aspects of the bill are expected to...
(October 6, 2008) - 2004 SEC Vote that Changed Net Capital Rule May Have Played a Role in Current FInancial Crisis
A recent New York Times article about the current US financial crisis refers to an April 28, 2004 meeting involving members of the Securities and Exchange Commission. During the meeting, the SEC members considered an urgent request made by large investment banks for an exemption from an old regulation limiting the amount of debt that their brokerage units could take on. The exemption would release millions of dollars that were in reserve as a cushion against the brokerage units' investment...
(October 5, 2008) - Ban on Short Selling Financial Institution Stock Set to Expire
Following the signing of the Emergency Economic Stabilization Act of 2008 on Friday, the SEC issued a statement that the ban on short selling financial institution stock will expire late on Wednesday night. Some fear the lifting of the ban will cause financial institution stock to decline even more. As evidence they point to the bankruptcy of Lehman Brothers following the lifting of a similar short-selling ban earlier this year. If the ban is working to shore up prices, then presumably lifting...
(October 5, 2008) - Bailout Bill Allows SEC to Suspend FAS 157 Mark-to-Market Accounting The Emergency Economic Stabilization Act passed by Congress permits the SEC to suspend the application of FASB Standard No. 157 on fair value accounting, or mark-to-market accounting, for any issuer, including financial institutions, or for any transaction. In addition to this broad power, the Act mandates that the SEC conduct a study of FAS 157 and report back to Congress in 90 days. Among other things, the study will examine...
(October 5, 2008) - Upstreaming Subprime Losses
According to news reports (here), MBIA has filed a lawsuit breach of contract lawsuit in New York state court against Countrywide Financial Corp. (now part of Bank of America) alleging that Countywide made fraudulent misrepresentations about is loan underwriting standards in connection with the securitization of over $14 billion of securities for which MBIA provided default insurance and that were backed by mortgages and home equity loans that Countrywide originated. MBIA alleges that based on...
(October 5, 2008)