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9 Oct 2009, 9:11 am
Teva Pharmaceuticals USA, Inc. and Teva Pharmaceutical Industries Ltd. [read post]
18 Nov 2022, 9:37 am by The White Law Group
MORGAN SECURITIES LLC (CRD#:79), SAN FRANCISCO, CA,    B, 04/03/1995 – 12/06/2005, LEHMAN BROTHERS INC. [read post]
30 Apr 2012, 6:16 am
The same general concept applies in this case, in which New York City-based insurance company American International Group Inc. has filed a civil lawsuit against the man who used to run the aircraft leasing arm of its company. [read post]
26 Jul 2018, 11:41 am by Staff Attorney
According to BrokerCheck records kept by The Financial Industry Regulatory Authority (FINRA) advisor Jennifer Ling (Ling), formerly associated with Axiom Capital Management, Inc. [read post]
10 May 2010, 7:11 am by Stanley D. Baum
As part of the proceeding, the Second Circuit Court of Appeals asked the New York Court of Appeals whether the affirmative defense to employer liability, articulated in Faragher v City of Boca Raton, 524 US 775 (1998) and Burlington Industries, Inc. v Ellerth, 524 US 742 (1998)(the "Faragher/Ellerth Defense"), applies to sexual harassment and retaliation claims under the NYCHRL. [read post]
19 Aug 2015, 6:36 am by Lisa Baird
Healthfirst, Inc., et al., the court found in favor of the DOJ, denying the defendant hospitals’ motion to dismiss, finding that the hospital had failed to timely repay overpayments. [read post]
5 Aug 2010, 12:00 pm by Lucas A. Ferrara, Esq.
New York City Industrial Development Agency Approves FRESH Incentives for Supermarket in the Bronx Agency Also Approves Industrial and Commercial Incentives for Two Companies to Grow Employment in New York City On Tuesday, New York City Industrial Development Agency (NYCIDA) approved 3462 Third Ave. [read post]
23 Oct 2017, 2:23 pm by Christopher J. Gray
” According to publicly-available information as disclosed by the Financial Industry Regulatory Authority (“FINRA”), Michael Giokas (CRD# 1398674) has worked in the securities industry for over three decades. [read post]
24 Jun 2018, 8:15 am by Staff Attorney
According to BrokerCheck records kept by The Financial Industry Regulatory Authority (FINRA) advisor Hector May (May), formerly associated with Securities America, Inc. [read post]