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Ronald R. Glancz

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Ronald R. Glancz

Partner
 
Venable LLP
575 7th Street, NW
Washington, District of Columbia  20004


Telephone: 202-344-4947
Fax: 202-344-8300
http://www.venable.com



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Practice AreasBanking Regulation; Thrift Institution Regulation; Bank Mergers and Acquisitions; Bank Holding Company Regulation; Financial Products and Services; Electronic Banking; Enforcement; Bank Directors and Officers Liability; Bank Litigation; Corporate Governance and Investigations; USA PATRIOT Act; Privacy; Treasury Regulation
 
EducationUniversity of Michigan, J.D., cum laude, 1968, University of Michigan, B.A., 1964
 
Admitted1968, Michigan; 1969, U.S. Court of Appeals for the District of Columbia Circuit; 1972, U.S. Supreme Court; 1974, District of Columbia
 
MembershipsAmerican (Former Vice Chair, Banking Law Committee; Former Chair, Subcommittee on Insurance; Former Vice Chair, Audit, Examination and Compliance, Banking Law Committee; Frank Simpson II Award, Banking Law Committee) Bar Association; The District of Columbia Bar.
 
Special AgenciesFDIC; OCC; OTS; FRB; Treasury; HUD.
 
BornBay City, Michigan
 
BiographyOrder of the Coif. Assistant Editor, Michigan Law Review, 1967-1968. Author: "How Regulators Will Respond to Credit Pain," American Banker, Sep. 14, 2007; "Positive Trends in the Fight Against Money Laundering," American Banker, June 25, 2004; "How the Sarbanes-Oxley Act Affects Non-Public Institutions," America's Community Banker, July 2003; "Reform Law Expands Bank's Options," American Banker, March 17, 2000; "Why Insurers Are Buying Thrifts Now," National Underwriter, March 2, 1998; "Bank Insurance Sales Spark Regulatory Rumblings," National Law Journal, September 8, 1997; "Insurance? It's in the Bank," National Law Journal, August 26, 1996; "Comparing Proposals For Glass-Steagall Reform," Bank Investment Representative, May, 1995; "Courts Tearing Down The Barriers to Branching," American Banker, July 27, 1993. Co-author: "Current Issues In Officer/Director Liability, Indemnification And Insurance Coverage," BNA's Banking Report, November 7, 1988. Assistant General Counsel, Federal Deposit Insurance Corporation, 1984-1988. Director, Litigation Division, Office of the Comptroller of the Currency, 1979-1984. Assistant Director, 1975-1979, Honors Attorney, 1965-1975, Civil Division, Appellate Section, United States Department of Justice. Chancellor, Exchequer Club of Washington, 2007-2008. Member: Women in Housing and Finance (WHF). Listed in The Best Lawyers in America and Chambers USA: America's Leading Lawyers for Business.
 
Reported CasesNational Courier Assoc., et al. v. Board of Governors of the Federal Reserve System, 516 F.2d 1229 (D.C. Cir. 1975).
 
ISLN907070595
 


 

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