The Insurance Corporate and Regulatory Practice combines our extensive corporate experience with our in-depth regulatory knowledge to represent all entities in the insurance industry fully and effectively.
Key Services
Assumption reinsurance transactions
Certificate of Authority expansion and modification
Contested administrative proceedings
Coordination of multi-state acquisitions and filings
Demutualization and formation of mutual holding companies
Dodd-Frank issues affecting insurers/reinsurers
Drafting and monitoring legislation affecting the insurance industry
Formation and licensing of premium finance companies
Formation and licensing of captive insurance companies and other alternative risk transfer vehicles
Gramm-Leach-Bliley, HIPAA and other other privacy and data security compliance matters
Holding Company Act transactions and compliance (Forms A-E filings)
IPOs and other capital transactions
Mergers, acquisitions and restructurings
Multi-state market conduct and financial examinations
Negotiation and drafting of reinsurance treaties and certificates
Negotiation and drafting of producer and MGA agreements
Policy form and rate filings
Product creation, development and approval
Redomestications
Registration and formation of risk retention groups
Regulation of insurer investments
Representation of companies, receivers, reinsurers and other creditors in conservation, rehabilitation and liquidation proceedings
Representation before state and federal legislative committees
Service contracts and warranty programs
Surplus lines filings and compliance
Taxation advice
Strategic Legal Services
The Insurance Regulatory and Corporate Practice has a national and international focus, combining our unique knowledge of the insurance industry with our broader specialties in corporate and tax law. The result is a highly effective practice focused on the insurance industry that leverages our knowledge and skills to deliver legal services in an efficient and cost effective manner.
Industry Leadership and Relationships
Morris, Manning & Martin's insurance lawyers frequently speak on regulatory, privacy, alternative risk, insolvency, taxation and other matters. We attend all NAIC quarterly meetings, as well other meetings such as those sponsored by the American Insurance Association, Association of Insurance Compliance Professionals (AICP), Risk and Insurance Management Society (RIMS),American Council of Life Insurers, National Alliance of Life Companies (NALC), America’s Health Insurance Plans (AHIP), American Association of Managing General Agents (AAMGA), National Association of Professional Insurance Agents and Life Insurance Settlement Association (LISA). We are also active participants in the Federation of Regulatory Counsel (FORC) and several of our attorneys have served as president of FORC.
Through our active representation of clients we have developed strong working relationships with regulators throughout the country. These relationships are one key to our success and ability to deliver timely results and achieve our clients goals.
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