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Attorneys' Malpractice Policies: Regulatory Exclusions and Public Policy

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dc.contributor.author Fortney, Susan Saab
dc.date.accessioned 2010-03-24T16:05:27Z
dc.date.available 2010-03-24T16:05:27Z
dc.date.issued 1992
dc.identifier.citation 109 Banking L.J. 116 (1992). en_US
dc.identifier.uri http://hdl.handle.net/10601/252
dc.description.abstract The courts have yet to decide the issue of the enforceability of provisions in legal malpractice insurance policies that specifically exclude from coverage claims made by government regulators such as the FDIC. The question has reached the courts with respect to such exclusionary provisions in directors' and officers' liability insurance policies, and here the courts are split. The author discusses the current case law and the statutory developments. en_US
dc.relation.uri https://a.next.westlaw.com/Document/I304f315136d211db8382aef8d8e33c97/View/FullText.html
dc.title Attorneys' Malpractice Policies: Regulatory Exclusions and Public Policy en_US
dc.type Article en_US


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