A Georgia state court of appeals recently rejected an insured’s argument that an insurance policy’s time limit for bringing suit should be treated as tolled during the period that the insured and the insurer are engaged in settlement negotiations.
California State Court: Coverage Under an Excess Policy is not Triggered until the Underlying Insurer Either Pays Its Own Limits in “Full” or is “Held Liable” For the Full Amount of Its Limits
By Troutman Pepper Locke on
Posted in Coverage & Claims, United States
On March 25, 2008, the California Court of Appeals affirmed a lower court judgment holding that coverage under an excess policy was not triggered because the primary insurer had neither paid the “full amount” of its policy limits nor become legally obligated to pay the full amount of the primary limits pursuant to the parties’ settlement agreement.
The Global Litigation Lottery
By Troutman Pepper Locke on
EAPD’s Vince Vitkowsky has written an opinion article for the Dow Jones website, marketwatch.com., which addresses the impact of cross-border litigation on business risk.
UK: FSA Moves to Enhance Supervision in Wake of Northern Rock
By Troutman Pepper Locke on
Posted in Regulatory, United Kingdom
On 26 March, the Financial Services Authority (FSA) published a summary of a review carried out by its internal audit division into its supervision of Northern Rock. The Chief Executive of the FSA admitted that the supervision of Northern Rock in the period leading up to the market instability of late last summer was not carried out to an acceptable standard.
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UK: FSA Proposes Fees for Part VII Transfers
By Troutman Pepper Locke on
Posted in Regulatory, United Kingdom
The FSA has confirmed that it plans to introduce application fees for transfers of insurance business under Part VII of the Financial Services and Markets Act 2000 (FSMA).
House Representatives Request Clarifications to FINSA Application in Treasury Department Regulations
By Troutman Pepper Locke on
Several members of the U.S. House of Representatives sent a letter to Department of Treasury Secretary Henry Paulson on March 13, 2008, requesting the Department of Treasury provide clear regulations outlining the application of the Foreign Investment and National Security Act (“FINSA”) on foreign investment in domestically owned companies.
Supreme Court Hears Argument in International Interpleader Action
By Troutman Pepper Locke on
Posted in Industry Developments, United States
Insurance companies are often stakeholders in interpleader actions. EAPD’s Vince Vitkowsky has recorded a podcast for a public policy group analyzing the issues presented by the pending U.S. Supreme Court case, Philippines v. Pimentel, which was argued on March 17, 2008. The case arises from an interpleader action commenced by Merrill Lynch concerning an account containing assets deposited by the late President of the Philippines, Ferdinand Marcos.
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Canada Considers Nationwide Securities Regulation Reform
By Troutman Pepper Locke on
Posted in D&O Liability, United States
The Canadian federal government has charged a panel of experts with investigating possibilities for significant securities regulation reform. Notably, the panel has been asked to “develop a model common securities act,” according to a press release issued by the Honourable Jim Flaherty, the Canadian Minister of Finance.
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Effective Date of New Jersey Ban on Step-Down Provisions
By Troutman Pepper Locke on
Posted in Regulatory, United States
As previously reported here, on September 10, 2007, the New Jersey legislature enacted P.L. 2007, c. 163 (S-1666/A-3038), which banned the use of step-down provisions. Step-down provisions were included in motor vehicle liability insurance policies issued to businesses and implicated when an employee is not a “named insured” on the policy.
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Sunshine in Litigation Act of 2007
By Troutman Pepper Locke on
On March 6, 2008, the Senate Judiciary Committee approved the Sunshine in Litigation Act of 2007 (the “Act”).