Eric A. Arnold


Partner
Washington, P: 202.383.0741
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Legal Alerts

NAIC Report: 2013 Spring National Meeting

April 22, 2013

Summary of Selected Sessions From “The SEC Speaks in 2013”

March 12, 2013

Legal Alert: Federal Court Finds That SEC Attorneys’ Interview Notes and Memories Are Not Protected by the Work Product Doctrine

February 7, 2013

Legal Alert: 2013 Outlook for Insurance Regulation

January 30, 2013

Legal Alert: FINRA Reverses Course and Issues Guidance Changing Its Interpretation Regarding the Key Issues of "Potential Investors" and Non-Security Recommendations

December 19, 2012

NAIC Report: 2012 Fall National Meeting

December 6, 2012

NAIC Report: 2012 Summer National Meeting

August 20, 2012

Legal Alert: Consumer Financial Protection Bureau Finds Marketing of Credit Card Add-On Products to be Deceptive

July 23, 2012

Noteworthy Now: Sutherland Insurance Regulatory Mid-Year Review

July 20, 2012

Legal Alert: Federal Insurance Office Requests Comments on the Global Reinsurance Market

June 29, 2012

Legal Alert: FSOC Finalizes Rule for Designation of Insurance Company and Other Nonbank “Systemically Important Financial Institutions”

April 17, 2012

Legal Alert: Impact of the Jumpstart Our Business Startups Act (the JOBS Act) on Broker-Dealers

April 13, 2012

Legal Alert: Summary of Selected Programs from SIFMA Compliance & Legal Society's 2012 Annual Seminar

April 10, 2012

Legal Alert: The NAIC Releases Draft ORSA Model Act for Public Comment

April 10, 2012

Legal Alert: House Subcommittee Approves Bill to Prevent the Federal Insurance Office and Office of Financial Research from Collecting Data Directly from Insurance Companies

December 22, 2011

Legal Alert: ERISA Participant Disclosure Will Not Violate SEC Advertising Rules

November 2, 2011

Legal Alert: FSOC Proposal Further Clarifies Which Nonbank Financial Companies Could Be Designated “Systemically Important Financial Institutions”

October 17, 2011

Legal Alert: SEC Adopts Extensive Changes to Investment Adviser Regulatory Scheme as Mandated by the Dodd-Frank Act

June 23, 2011

Legal Alert: NAIC Releases Draft White Paper On Corporate Governance; At Odds With Existing Bodies of U.S. Law

June 10, 2011

Legal Alert: FSOC Proposed Rulemaking on Fed Supervision of Nonbank Financial Companies: Congress Questions Transparency

May 23, 2011

Legal Alert: New York Department of Financial Services to Have Authority Beyond Legacy Regulators; New Legal Risks Emerge for Insurers

April 27, 2011

Legal Alert: FINRA Delays Implementation of New Suitability Rules Until July 2012

April 11, 2011

Legal Alert: The Consumer Financial Protection Bureau: Structure, Mission and Limitation of Authority Prior to the Appointment of a Director

March 8, 2011

Legal Alert: FSOC Proposed Rulemaking on Fed Supervision of Nonbank Financial Companies: Critics Submit Comments and Ask Who is Speaking on Behalf of the Insurance Industry

March 7, 2011

Legal Alert: The Financial Stability Oversight Council Takes Action: New Insight into Determination of Which Insurers May Be Subject to Enhanced Oversight

February 18, 2011

Legal Alert: DOL Advisory Opinions Consider Fiduciary Issues

February 16, 2011

Legal Alert: Significant Changes to FINRA’s Know Your Customer and Suitability Rules to Take Effect in 2011

January 3, 2011

Legal Alert: Broker-Dealer Annual Audits and Accounting Standards: SEC and PCAOB Developments

December 21, 2010

Legal Alert: New York’s Highest Court Approves STOLI Policy Sales

November 18, 2010

Legal Alert: DOL Finalizes New ERISA Disclosure Rules for Participant-Directed Retirement Plans

October 20, 2010

Legal Alert: The Financial Stability Oversight Council Holds Inaugural Meeting; Proposed Rulemakings on Nonbank Financial Companies and the Volcker Rule Will Impact Insurers

October 13, 2010

Legal Alert: Impact of Dodd-Frank Wall Street Reform and Consumer Protection Act on Broker-Dealers

August 16, 2010

Legal Alert: The Dodd-Frank Act: A New Era of Financial Regulation and the Implications for the Insurance Industry

August 3, 2010

Legal Alert: NAIC Proposes Expansive New Governance, Risk Management and Reporting Duties on Insurance Holding Company Systems; A New Liability Profile Emerges for Directors and Senior Management

July 9, 2010

Legal Alert: Class Certified in Action Involving Annuity Sales to Seniors

June 30, 2010

Legal Alert: FINRA Issues Guidance for Broker-Dealers Participating in Private Offerings

April 29, 2010

Legal Alert: House Holds Hearing on Insurance Holding Company Supervision

March 19, 2010

Legal Alert: The Dodd Bill Redux: The Senate Takes Aim at Financial Regulatory Reform

March 19, 2010

Legal Alert: FINRA Proposes to Include More and Older Information on BrokerCheck

February 24, 2010

Legal Alert: Obama Administration Proposes Financial Crisis Responsibility Fee

January 15, 2010

Legal Alert: FINRA Restricts Internal Use Only Rules Through Enforcement Actions

January 6, 2010

Legal Alert: SEC Adopts Amendments to Advisers Act Custody Rule

December 17, 2009

Legal Alert: Proposed Federal Insurance Office Act of 2009 Moves Forward

December 4, 2009

Legal Alert: NAIC Proposes Federal Legislation That Could Reduce Reinsurance Collateral Requirements

October 16, 2009

Legal Alert: NAIC Life Insurance and Annuities (A) Committee Approves Revisions to Standard Valuation Law to Enable Principles-Based Reserving

September 10, 2009

Legal Alert: Ninth Circuit Overturns Denial of Class Certification in Action Involving Sale of Annuities to Senior Citizens; Orders Class Certified

August 31, 2009

Legal Alert: Impact of Financial Regulatory Reform on the Insurance Industry: Proposed Legislation to Implement the Regulatory Reform White Paper

August 5, 2009

Legal Alert: Suitability, Solvency Modernization, International Accounting and Derivatives: The NAIC 2009 Summer Meetings

June 30, 2009

Legal Alert: Financial Regulatory Reform – A New Foundation: Building Financial Supervision and Regulation

June 19, 2009

Legal Alert: Sutherland Finds That FINRA Sanctioned Far Less in 2008 Than in Previous Three Year

June 3, 2009

Legal Alert: SEC Issues Release Proposing Amendments to Rules Governing Custody of Client Assets by Investment Advisers

May 27, 2009

Legal Alert: Recent Developments: The Federal Regulation of Insurance

May 19, 2009

Legal Alert: National Insurance Consumer Protection Act and Prospects for Federal Regulation of Insurance

April 13, 2009

Legal Alert: Optional Federal Charter Bill Introduced in House

April 3, 2009

Legal Alert: Highlights From the 2009 SIFMA Legal and Compliance Annual Seminar

April 3, 2009

Legal Alert: Sutherland to Host Webinar on FINRA Sweep of Sales and Promotion of Non-Traded REITs

March 30, 2009

Legal Alert: Investment Adviser Developments: SEC Chairwoman and Treasury Secretary Offer Proposals for Regulatory Reform

March 27, 2009

Legal Alert: Senate Banking Committee Hears Testimony on Insurance Regulation

March 18, 2009

Legal Alert: Federal Insurance Regulation: An Updated Scorecard

March 12, 2009

Legal Alert: Regulation D Developments

March 5, 2009

Legal Alert: State Securities Regulators Propose an Agenda for Change, Will Not Take the Financial Crisis Lying Down

February 9, 2009

Legal Alert: A Scorecard on the Systemic Risk Regulator and Federal Insurance Regulation

February 9, 2009

Legal Alert: NAIC Executive Committee Rejects Emergency Action on Capital and Surplus Relief

January 30, 2009

Legal Alert: Insurance Industry Capital and Surplus Relief Proposal Gains New Life

January 28, 2009

Legal Alert: House Members Encourage the Creation of a National Insurance Office Within Treasury

January 26, 2009

Legal Alert: Sutherland to Host Webinar on FINRA Sweep of Broker-Dealer Referrals of Investment Advisory Services

January 26, 2009

Legal Alert: Access to TARP Program and Fed Funding: Insurance Company Strategies and Implications

January 14, 2009

Legal Alert: Obama Places High Priority on Restructuring the Nation's Financial Regulatory System

December 19, 2008

Legal Alert: Recent Developments Relating to Insurance Company Participation in the Treasury's TARP Program

November 19, 2008

Legal Alert: House Financial Services Subcommittee Approves the Insurance Information Act of 2008 to Create an Office of Insurance Information

October 10, 2008

Legal Alert: Issues List for Broker-Dealers Responding to Financial Markets Events

October 9, 2008

Legal Alert: Impact of the Emergency Economic Stabilization Act and Related Developments on Insurance Companies

October 7, 2008

Legal Alert: Moving Forward with the Bailout - The Emergency Economic Stabilization Act of 2008 Becomes Law

October 3, 2008

Legal Alert: State Securities Regulators Discuss Developments and Initiatives

October 2, 2008

Legal Alert: Progress on the "Bailout" Proposal - The Senate Passes an Expanded Emergency Economic Stabilization Act of 2008

October 2, 2008

Legal Alert: The Evolving "Bailout" Proposal - Emergency Economic Stabilization Act of 2008

September 29, 2008

Legal Alert: Warnings About Replacing AIG Policies

September 29, 2008

Legal Alert: Sutherland to Host Conference Call on FINRA Sweep Examination of Auction Rate Securities

August 22, 2008

Legal Alert: FINRA Spring Securities Conference

June 23, 2008

Legal Alert: Sutherland Forms Regulatory Reform Task Force

June 12, 2008

Legal Alert: Is There a "Good Faith" Defense to Securities Fraud? Courts, the SEC and FINRA in Conflict

April 29, 2008

Legal Alert: Form ADV Part 2 Proposal

March 13, 2008

Legal Alert: FINRA Tells Members to Revisit Customer Statement and Web Site Descriptions of Auction Rate Securities Backed by Fixed Income Products and Temporarily Increases Maintenance Margin for Such Securities

March 6, 2008

Legal Alert: SEC Proposes to Amend Regulation S-P to Require New Client Information Safeguards and Allow Reps to Take Certain Client Information When They Change Broker-Dealer or Investment Adviser Firms

March 5, 2008

Legal Alert: Rulings on Class Certification, Expert Testimony and Summary Judgment in Case Involving Sales of Annuities for Qualified Retirement Plans

February 18, 2008

Legal Alert: FINRA Proposes Significant Changes to IM-3060 on Gifts and Entertainment

January 22, 2008

Legal Alert: SEC Posts RAND Corporation Report on Investment Adviser and Broker-Dealer Industry

January 9, 2008

Legal Alert: MSRB Notice 2007-32 - New Supervisory Requirements Under Rule G-27

November 13, 2007

Legal Alert: Sutherland to Host Conference Call on FINRA Sweep Examination of Life Settlements

November 13, 2007

Legal Alert: FINRA Fall Securities Conference

October 25, 2007

Legal Alert: Sutherland Study Finds That It Sometimes Pays to Litigate Against FINRA (Formerly NASD)

September 27, 2007

Legal Alert: Sutherland to Host Conference Calls on FINRA Sweep Examination of the Use of Professional Designations Involving Seniors and Retirees

September 12, 2007

Legal Alert: SEC Adopts Rule Prohibiting Fraud by Advisers to Certain Pooled Investment Vehicles

August 6, 2007

Legal Alert: FINRA Conducting a Sweep Examination of Pitches to Retirees and Section 72(t) Withdrawals

August 3, 2007

Legal Alert: NASD and NYSE Request Comments on Proposed Guidance Regarding Supervision of Electronic Communications

June 29, 2007

Legal Alert: NASD Answers Frequently Asked Questions Regarding SEC Financial Responsibility Rules

April 12, 2007

Legal Alert: Summary of Selected Programs from SIFMA Compliance & Legal Division's 2007 Annual Seminar

April 3, 2007

Legal Alert: NASD Provides Guidance and Mandates Additional Procedures for Firms' Supervision of Representatives Transferring from Other Firms

February 21, 2007

Education

J.D., Vanderbilt University Law School, 1991, Associate Editor, Vanderbilt Law Review; Order of the Coif

B.S., Brown University, 1986

Bar Admissions

District of Columbia