Search for: "Richard C." Results 101 - 120 of 5,540
Sort by Relevance | Sort by Date
RSS Subscribe: 20 results | 100 results
7 Feb 2024, 6:51 am by Dan Bressler
The Solicitors Regulation Authority said Richard Lionel Jones had breached regulations for ‘longer than was reasonable’ and demonstrated a pattern of non-compliance. [read post]
6 Feb 2024, 8:00 am by Annalee Hickman Pierson
Richard Collin Mangrum & Dee Benson, Mangrum & Benson on Utah Evidence (2022–2023 ed.) [read post]
2 Feb 2024, 2:56 pm by Rebecca Tushnet
Traditional narratives about goodwill are flawed b/c they don’t go back before the 19th century. [read post]
1 Feb 2024, 12:45 pm by admin
The same working group that agreed, on a divided vote, to place crystalline silica in Group 1, voted that “[c]oal dust cannot be classified as to its carcinogenicity to humans (Group 3). [read post]
31 Jan 2024, 4:43 am by Beatrice Yahia
Kareem Khadder, Tim Lister, and Richard Greene report for CNN. [read post]
30 Jan 2024, 12:45 pm by Broussard, David & Moroux
This year marks the 50th anniversary of practicing law for one of Broussard, David & Moroux’s founding partners, Richard C. [read post]
25 Jan 2024, 8:12 am
Together they describe the epistēmē (understood as "the strategic apparatus which permits of separating out from among all the statements which are possible those that will be acceptable" Foucault, Power/Knowledge (C. [read post]
Justice Richard Mosley found that the Freedom Convoy protests, which were convened to oppose COVID-19 vaccination requirements, did not rise to the level of a public order emergency. [read post]
23 Jan 2024, 4:38 am by Beatrice Yahia
Amir Tal and Richard Allen Greene report for CNN. [read post]
22 Jan 2024, 9:01 pm by renholding
Besides private offerings under section 4(a)(2) and its safe harbor, rule 506(b), there are at least five other categories of exemptions: (1) rule 506(c) under the Securities Act; (2) rule 504 under the Securities Act; (3) Regulation A, including tier 1 and tier 2; (4) Regulation Crowdfunding; and (5) the intrastate exemptions under section 3(a)(11) of the Securities Act and rules 147 and 147A. [read post]