CONFERENCES and WEBINARS
Ms. Fein has chaired and/or organized the following conferences and webinars:
"The Emergency Economic Stabilization Act of 2008: A Solution to the U.S. Financial Crisis?" A webinar sponsored by Incisive Media, Nov. 12, 2008
"Regulation R: Bank Compliance Issues," A series of teleconferences with bank audiences explaining Regulation R and bank compliance issues, January and February 2008
“How to Manage Conflicts of Interest in a Diversified Wealth Services Organization,” Boston University School of Law, Center for Banking and Financial Law, and Federated Investors, Inc., Washington, D.C., October 13, 2006
“The Compliance Challenge: How to Structure a Compliance Program for a Diversified Financial Services Organization,” The Financial Services Roundtable, Boston University School of Law, Morin Center for Banking and Financial Law, and Goodwin Procter LLP, Washington, D.C., May 2006
“The SEC’s Bank Broker Dealer Rule,” Boston University School of Law, Morin Center for Banking and Financial Law, and Goodwin Procter LLP, Washington, D.C., June 18, 2004
“The Financial Services Firm of the Future: Broadening Opportunities with the Banking Charter,” Strategic Research Institute, New York, May 10-11, 2004
“The New Business of Banking,” Practising Law Institute, New York, Dec. 1997, with Julie Williams and Ernest Patrikis
“The New Business of Banking,” Practising Law Institute, New York, Dec. 1996, with Julie Williams and Ernest Patrikis
“Regulation Y and Regulatory Reform,” Bank Administration Institute and Arnold & Porter, Washington, D.C., Nov. 1996
“Cyberbanking,” Glasser LegalWorks, Washington, D.C., Feb. 8-9, 1996, with John Douglas and Murray Indick
“The New Business of Banking,” Practising Law Institute, New York, March 1995, with Julie Williams
A Seminar for Russian Bank Lawyers, Arnold & Porter, Washington, D.C., Oct. 20, 1995
Bank Mutual Fund Compliance Seminar, Federated Investors, Pittsburgh, Sept. 28, 1995
Russian Bank Lawyers’ Seminar, Arnold & Porter, Washington, D.C., May 23-24, 1995
Third Annual Mutual Fund Activities of Banks Seminar, Aspen Law & Business, Washington, D.C., May 1995, with Marianne Smythe
Second Annual Mutual Fund Activities of Banks Seminar, Aspen Law & Business, Washington, D.C., Sept. 1994, with Martha Cochran
“Merging Financial Markets: Banks, Insurance Companies & Mutual Funds,” District of Columbia Bar and George Washington National Law Center, Washington, D.C., March 24-25, 1994, with Clifford Kirsch
Third International Conference on Russian Banking, Moscow, December 1994, with Gary Stern
First Annual Mutual Fund Activities of Banks Conference, Washington, D.C., Sept. 1993, with Victoria Schonfeld
Second International Conference on Russian Banking, Moscow, December 1993, with William McDonough
First Annual International Conference on Russian Banking, Moscow, Oct. 1992, with John LaWare
“Securities Regulation of Banks and Thrifts,” Practising Law Institute, Washington, D.C., Spring 1991, with Neil McCoy
“Securities Regulation of Banks and Thrifts in the 1990s,” Practising Law Institute, Washington, D.C., Spring, 1990, with Neil McCoy