Practice Areas - Financial Institutions
- Securities
| |
|
|
|
| University | State University of New York at Oswego, B.A., 1971 |
|
| Law School | Syracuse University, J.D., 1975 |
|
| Admitted | 1976, New York; 1985, District of Columbia |
|
| Biography | Managing Editor, Syracuse Journal of International Law and Commerce, 1974-1975. Adjunct Professor of Law, Morin Center for Banking Law Studies, Boston University School of Law, 1985-1993. Counsel, Multinational Banking Division, Office of the Comptroller of the Currency, 1979-1981. Deputy General Counsel and Acting General Counsel, Federal Home Loan Bank Board, 1982-1983. Member, Board of Advisors, University of North Carolina School of Law Banking Institute, 1998—. |
|
| ISLN | 907766184 |
|
Documents by this lawyer on Martindale.com | |
CFPB’s New Supervisory Manual Focuses on Risk to ConsumersBeth S. DeSimone,A. Patrick Doyle,Jeremy W. Hochberg,Michael B. Mierzewski,Nancy L. Perkins,Andrew J. Shipe, October 31, 2011 On October 13, 2011, the Consumer Financial Protection Bureau (CFPB) released the CFPB Supervision and Examination Manual (Manual). The Manual provides the CFPB’s examiners with guidelines for determining whether entities providing consumer financial products and services are complying with...
Agencies Propose Regulations Implementing Volcker RuleAlan W. Avery,A. Patrick Doyle,David F. Freeman,Daniel Waldman, October 18, 2011 On October 11 and 12, 2011, the Federal Reserve, Federal Deposit Insurance Corporation (FDIC), Office of the Comptroller of the Currency (OCC), and Securities and Exchange Commission (SEC) proposed a common set of rules to implement Section 619 of the Dodd Frank Wall Street Reform and Consumer...
|
View Ratings & Reviews |
Profile Visibility  | | #38 in weekly profile views out of 47,588 lawyers in Washington, District of Columbia | | #624 in weekly profile views out of 1,447,639 total lawyers Overall |
|
|