Kevin G. Fitzgerald concentrates his practice in the fields of corporate and regulatory insurance law, insurance insolvency, premium taxation, privacy legislation, captive insurance matters, agent and agency licensing, and reinsurance transactions. He is a member and former chair of the firm’s Insurance & Reinsurance Industry Team and a member of the Finance & Financial Institutions, Transactional & Securities, and Privacy, Security & Information Management Practices, as well as the Health Care & Life Sciences Sector.
수상 및 표창
- Recognized by The Legal 500 for his work in the area of insurance: advice to insurers (2011 – 2013) and insurance: noncontentious (2011 – 2013, 2015 and 2016)
- Named to The Best Lawyers in America© in the field of Insurance Law (2023-2024)
- Named the 2013 Milwaukee Insurance Law “Lawyer of the Year” by Best Lawyers®
- International Law Office and Lexology recognized him with a Client Choice award (2014)
- Listed in the 2015 Expert Guides: The World’s Leading Lawyers Chosen By Their Peers for his work in insurance and reinsurance
제휴
- Member, American Bar Association (Business Law Section, Administrative Law and Regulatory Practice Section, and Tort & Insurance Practice Section)
- 위스콘신 주 변호사, 회원
- Member, Florida Bar
- Member and former president and CEO of the Federation of Regulatory Counsel
프레젠테이션 및 출판물
- Author, “Fair Discrimination and Pricing in Multichannel Insurance Marketing,” SNL Insurance Daily, August 17, 2015
- Author, “The CoOpportunity Liquidation and the Future of Affordable Care Act CO-Ops,” Bloomberg Health Insurance Report, 21 HPPR 28, April 2015
- Author, “The Right Prescription? Should Your Company’s Medical Benefits be Insured Through a Captive Insurance Company?,” Bloomberg Law Reports – Employee Benefits, Vol. 4, No. 13, June 2011
- Author, “Essex v. Zota: Florida Surplus Lines Exemption Under Attack,” Florida Underwriters, November 2008; Insurance Legal News, Fall 2008
- Author, “National Trends Affecting Producer Licensing,” FORC Quarterly Journal of Insurance Law and Regulation, Vol. 19, Ed. 2, Summer 2008
- Presenter, “NAIC Updates to the Model Audit Rule,” Marcus Evans Conference, New York, NY, April 2008
- Author, The Death, by Taxes, of the Pure Captive,” Advisen Front Page News, November 2007
- Presenter, “A Primer and Case Study on Alternative Risk Transfer Vehicles for Medical Professional Liability,” AMGA 2007 Annual Conference, Scottsdale, AZ, March 2007
- Author, “Non-Profit Health Care Systems Captives: Is Your Captive an ‘Insurance Company’ and Do You Want It To Be?” Law Watch, Vol. 07-2, February 2007
- Presenter, “State & Local Tax/Blue Card Update,” BCBS National Tax Conference, Palm Springs, CA, November 2006
- Presenter, “Update on Finite Reinsurance,” Foley’s Insurance Industry Team, Web Conference, December 2005
- Author, “Treasury Department Releases Final Rules Applying US Patriot Act to Certain Insurance Companies,” Insurance Law Update, November 2005; Journal of Payment Systems Law, November/December 2005
- Presenter, “The Cost of Sarbanes-Oxley and NAIC/AICPA Joint Working Group Initiative,” presented to NAIC, San Francisco, CA, June 2004
- Presenter, “Fair Credit Reporting Act” presented to Property Casualty Insurance Association of America, Chicago, IL, February 2004
- Author, “Anti-Money Laundering and the USA Patriot Act of 2001, America’s War Against Terrorism Spreads to the Insurance Industry,” Vol. IX, Ed. II, FORC Quarterly Journal of Insurance Law and Regulation, June 2002
- Presenter, “Health Insurance Portability and Accountability Act of 1996,” NAIC Summer National Meeting, Philadelphia, PA, June 2002
- Presenter, “Premium Taxation of Blue Plans Under the Blue Card Program,” BlueCross/BlueShield Association’s 36th Annual Lawyers Conference, Denver, CO, May 2002
- Author, “Safeguarding the Privacy of Nonpublic Personal Information Under Gramm-Leach-Bliley: Another Train Is Leaving the Station,” Insurance Law Update, March 2002
- Author, “Electronic Signatures in Global and National Commerce Act,” Insurance Law Update, July 2000
- Author, “The Violent Crime Control and Law Enforcement Act of 1994: Its Pervasive Impact on the Insurance Industry and Why You Need to Know About It,” TIP Committee News, PUB. REG. INS. L. COMMITTEE, TORT & INS. PRAC. SEC., A.B.A., Spring 1999
폴리, 베인 캐피털의 가이드원 보험 2억 달러 투자 및 상호보험사 전용 혁신 플랫폼 구축 대리
폴리 앤 라드너 LLP는 1947년 설립된 선도적 틈새 시장 보험사인 가이드원 보험사가 베인 캐피털 인슈런스로부터 2억 달러의 투자를 유치하는 과정에서 법률 자문 역할을 수행했습니다.
2024년 미국 최고의 변호사로 선정된 폴리 변호사들
폴리 앤 라드너 LLP는 오늘 미국 내 20개 사무소의 변호사 236명이 2024년판 '미국 최고의 변호사©'에 선정되었다고 자랑스럽게 발표했습니다.
Insurance Law Update: Insurance Circular Letter No. 6
On July 17, 2023, the New York Department of Financial Services issued Insurance Circular Letter No. 6 (2023) and a concurrent press release seeking to clarify, and in our opinion repeal, earlier guidance from the Department relating to permitted differences in life insurance and annuity products, and their premiums and terms and conditions, as well as those purported differences which indicate impermissible discrimination.
Wisconsin Resident Producers Required to Submit Annual Cybersecurity Certification By March 1, 2023
Information data security has been a hot topic for the insurance industry in recent years, particularly the development of information security programs (“ISPs”) by insurers, producers, and other insurance licensees.
2023년 미국 최고의 변호사로 선정된 폴리 변호사들
20개 사무소의 변호사 250명이 2023년판 '미국 최고의 변호사'에 선정되었음을 자랑스럽게 발표합니다.
What Is a “Policy” Under Unfair Trade Practices Laws?
When an insurer discovers that insureds are being treated differently in any scenario, it is important to consider very seriously whether such differential treatment could be contrary to unfair trade practices laws