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Mr. Brown acts for clients on a wide range of insurance
regulatory matters before the California Department of Insurance and
other state insurance departments. Matters include market conduct
examinations, Insurance Holding Company System transactions, Mutual
Holding Company formation, demutualizations, regulatory inquiries
and investigations, consumer complaints, applications for
certificates of authority, agent and broker issues, premium tax
audits, and general regulatory compliance matters.
He regularly advises bank-insurance operations, both wholesale and
retail production, on regulatory, litigation, and operational
matters.
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