Federal Home Loan Bank of Pittsburgh

Wilmington Trust

Young Conaway Stargatt & Taylor, LLP

Connolly Gallagher

Richards Layton & Finger

Gordon, Fournaris & Mammarella

Cooch & Taylor

FIS Global

Pepper Hamiton LLP

Morris, Nichols, Arsht & Tunnell LLP

Belfint Lyons & Shuman

Santora CPA Group

SunTrust Delaware Trust Company

Parkowski, Guerke & Swayze, P.A.

Ballard Spahr


Duane Morris

Delmarva Broadcasting

Delaware Banker Individual Article Reprints

Reprints of popular past articles are now available. Some of the articles have live links to the authors for ease of contact.

Currently, the following articles are available individually.

Summer 2016
Greater Protection for Delaware Employees
by Jennifer Jauffret and Lori Brewington
Richards, Layton & Finger, PA

Spring 2014
High Noon: The CFPB and Payday Lending Regulaton
by Glen Trudel, Ballard Spahr LLP

Spring 2014
Estate Planning for Young Families
by David R. Mietty, UBS

Fall 2012
The Tax Provisions of the Affordable Health Care Act
by Jordon Rosen, CPA, AEP, MST, Belfint, Lyons & Shuman, P.A.

Fall 2012
Whistleblower Protection Under Delaware and Federal Law
by Kathleen Furey McDonough, Esq. and Michael B. Rush, Esq.
Potter Anderson & Corroon LLP

Fall 2012
Asset Protection Planning Utilizing Delaware STETs
by David A. Ruben, J.D., LL.M.
UBS Trust Company, N.A.

Spring 2012
Dodd-Frank Act: Does Size Matter?
by John Soffronoff, ICS Risk Advisors

Spring 2012
A Final Work in Progress
The CFPB's New Compliance Scheme for Foreign Remittance Transfers
by Glen P. Trudel, Connolly Bove Lodge & Hutz LLP

Spring 2012
Warning: Trustees Are Twice-Tested
by Mark D. Olson and Beth Miller, Morris James

Summer 2011
Pirates on the PC
by Chris Salerno
Security Risk Advisors

Summer 2011
Trust Act 2011
by David A. Ruben, J.D., LL.M. UBS Trust Company, N.A.

Summer 2011
A Step Toward Equality in Estate Planning
by Mark V. Purpura, Esq., F. Peter Conaty, Jr., Esq.,
and Ginger L. Ward

Spring 2011
The Durbin Amendment Battleground
by Glen P. Trudel
Connolly Bove Lodge & Hutz LLP

Spring 2011
Why You Need To Think About Estate Planning...Now
by Robert Freed, Director of Tax Services, Santora CPA Group

Spring 2011
Banks on the Leading Edge:
Assessing Your Compliance Resource Needs
by James H. Wistman, MBA, CAMS and Aaron Kahler, CFE, CAMS,
ICS Compliance

Winter 2011
The New Cop Sets Up Shop:
The New Consumer Financial Protection Bureau
by Richard P. Eckman, Chairman, Financial Services Practice Group, Pepper Hamilton LLP

Winter 2011
Keeping Safe in Cyberspace
by Ray Abbott, SVP Cash Management, WSFS Bank

Winter 2011
Repatriation of Foreign Trusts
by Ian Weinstock, Esq., General Counsel, UBS Trust Company, N.A.

Fall 2010
The Dodd-Frank Reform Bill: Will It Work?
by David S. Swayze, Esq. & Christine P. Schiltz, Esq.
Parkowski, Guerke & Swayze, P.A.

Fall 2010
Global Accounting Standards: Not IF, but WHEN
by William A. Santora, CPA, President and Chief Financial Officer
Santora CPA Group

Fall 2010
Struggling Against Odds:
First State Communities Find the Right “Blueprint”
by John Bendel, Director of Community Investment, Federal Home Loan Bank of Pittsburgh

Spring 2010
Regulation E Gift Card Rules
by Glen P. Trudel, Esq. Partner, Connolly Bove Lodge & Hutz, LLP

Spring 2010
Practical Tips for Avoiding Compensation Descrimination
by Teresa A. Cheek, Esq., Young Conaway Stargatt & Taylor, LLP

Spring 2010
RESPA Changes
by Michelle L. Russo, VP, Consumer Real Estate Compliance,
Bank of America


For complete copies of past issues of Delaware Banker magazine follow the link below...

Delaware Banker Full Issues