SEC Sues Ex-Fed Examiner For Insider Trading On Bank Stocks <https://www.law360.com/capitalmarkets/articles/2258844?nl_pk=abe82add-2a33-4388-8f7e-63d76e8f5534&utm_source=newsletter&utm_medium=email&utm_campaign=capitalmarkets&utm_content=2024-11-12&read_main=1&nlsidx=0&nlaidx=5> By Sarah Jarvis The U.S. Securities and Exchange Commission filed suit against a former senior banking supervisor with the Richmond Federal Reserve Bank, accusing him of insider trading on stocks of New York Community Bancorp and Capital One Financial Corp. Complaint attached | Read full article » <https://www.law360.com/capitalmarkets/articles/2258844?nl_pk=abe82add-2a33-4388-8f7e-63d76e8f5534&utm_source=newsletter&utm_medium=email&utm_campaign=capitalmarkets&utm_content=2024-11-12&read_more=1&nlsidx=0&nlaidx=5> | Save to favorites » <https://www.law360.com/capitalmarkets/articles/2258844?nl_pk=abe82add-2a33-4388-8f7e-63d76e8f5534&utm_source=newsletter&utm_medium=email&utm_campaign=capitalmarkets&utm_content=2024-11-12&read_later=1&nlsidx=0&nlaidx=5>