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Practice Overview

The Consumer Financial Services Enforcement and Litigation Group at Skadden, Arps, Slate, Meagher & Flom LLP and affiliates (”Skadden, Arps” or “Skadden”) represents many of the nation’s leading banks, insurance companies, securities firms and other consumer financial services companies in a broad array of government investigations, enforcement actions and class action litigations focused on the sale of financial products to consumers. The group comprises more than 20 Washington, D.C.-based lawyers with extensive experience as federal prosecutors and financial services regulators, and in defending corporations in civil and criminal governmental investigations. The group also includes litigation partners and associates in the firm’s New York, Boston, Chicago, San Francisco and Los Angeles offices. Drawing upon the resources of the firm's litigation, banking and insurance practices areas, the Consumer Financial Services Enforcement and Litigation Group handles federal and state investigations and multiple private class action lawsuits. The group also has an active examination and regulatory compliance practice that provides ongoing advice regarding day-to-day compliance, regulatory examinations and the acquisition approval process, as well as litigation risk management. The group regularly performs due diligence for clients considering strategic partnerships or acquisitions.

Hot Topics
11.18.08Hearing Materials and Related Testimony Before the House Financial Services Committee Regarding Oversight of Implementation of the Emergency Economic Stabilization Act of 2008 and of Government Lending and Insurance Facilities
11.17.08FDIC Release Regarding Loss Sharing Proposal to Promote Affordable Loan Modifications
10.22.08FTC Enforcement Policy Statement Regarding Six-Month Delay of Enforcement of 'Red Flags' Rule Requiring Creditors and Financial Institutions to Have Identity Theft Prevention Programs and Related Release
10.21.08Hearing Materials and Related Testimony Before the House Financial Services Committee Regarding the Future of Financial Services Regulation
10.20.08Federal Reserve Board Final Rule Regarding Regulation C
10.17.082008 Skadden Subprime Enforcement and Litigation Conference Materials
10.14.08Joint Statement by Treasury, Federal Reserve, and FDIC Regarding Market Stability Initiative and Related Treasury Secretary Paulson, Federal Reserve Chairman Bernanke, and FDIC Chairman Bair Remarks
10.06.08Multistate Settlement Term Sheet Agreement Between Countrywide and Various State Attorneys General
09.30.08September 2008 State Foreclosure Prevention Working Group Report Regarding Subprime Mortgage Servicing Performance
09.25.08Hearing Materials and Related Testimony Before the House Financial Services Committee Regarding Oversight to Examine Recent Treasury and FHFA Actions Regarding the Housing GSEs

 
  Andrew L. Sandler
asandler@skadden.com
Partner | Washington, D.C.
T: 202.371.7400
F: 202.371.7917
     
  William J. Sweet, Jr.
wsweet@skadden.com
Partner | Washington, D.C.
T: 202.371.7030
F: 202.661.8240
     
  Benjamin B. Klubes
bklubes@skadden.com
Partner | Washington, D.C.
T: 202.371.7508
F: 202.661.8296
     
  Gary DiBianco
gdibianc@skadden.com
Partner | Washington, D.C.
T: 202.371.7858
F: 202.661.8323
     
  Anand S. Raman
araman@skadden.com
Partner | Washington, D.C.
T: 202.371.7019
F: 202.661.9023
     
  Joseph L. Barloon
jbarloon@skadden.com
Partner | Washington, D.C.
T: 202.371.7322
F: 202.661.8254
     
  Jamie L. Boucher
jboucher@skadden.com
Partner | Washington, D.C.
T: 202.371.7369
F: 202.661.8258
 

 


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