Search for: "Equity Management II, LLC " Results 161 - 180 of 252
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30 Mar 2015, 11:11 am
  * Broccoli & Tomatoes, part deux: more from the Enlarged BoardDavid's back to report on EPO Enlarged Board's decisions in cases G 2/12 (Tomatoes II) and G 2/13 (Broccoli II), both relating to the exclusion from patentability under Article 53(b) of the European Patent Convention for plant or animal varieties or essentially biological processes for the production of plants or animals. [read post]
12 Aug 2014, 10:41 am by Jeffrey W. Berkman, Esq.
In prior posts, I stressed the importance for business owners to enter into an agreement that sets forth the right to require a redemption or buy-out of a owner's equity interest upon the occurrence of certain triggering events. [read post]
5 Aug 2014, 6:17 am by Adam Weinstein
See First Allied Securities Has Been Accused of Selling Advanced Equities Securities By Misleading Investors, Advanced Equities and First Allied Sales of Fisker Automotive Private Placements Under Scrutiny – Part I, Advanced Equities and First Allied Sales of Fisker Automotive Private Placements Under Scrutiny – Part II, Gana LLP Files Complaint Concerning Fisker Automotive Private Placements, Advanced Equities Fined Over Allegations of… [read post]
8 May 2014, 12:44 pm by Mary Jane Wilmoth
., Nick Pirgousis, Frank Dolney, William Brown, Gary Todd, Mario Casias, Delta Asset Management Company, LLC, William Keeler, William Scott, Iain H.T. [read post]
6 May 2014, 4:26 pm by BakerHostetler
For example, as we discussed in our 2013 Mid-Year Report, the SEC and Commodity Futures Trading Commission jointly issued final rules in April 2013 requiring certain regulated entities to implement identity theft programs.[2] As we also discussed in a previous Executive Alert, the SEC, FINRA, and the CFTC issued joint guidance in August of last year on the “best practices and lessons learned” from their review of firms’ business continuity and disaster recovery plans, following the… [read post]
25 Mar 2014, 10:17 am by Thomas Devaney
On February 25, 2014 the Securities and Exchange Commission (the “SEC”) filed public administrative and cease-and-desist proceedings against Arizona-based Clean Energy Capital, LLC (a registered investment adviser, “CEC”) and its founder and Chief Executive Officer Scott Brittenham charging that CEC and Brittenham committed the following violations with respect to the 20 private equity funds sold and managed by CEC primarily under the name of… [read post]
28 Feb 2014, 2:23 pm by Sean Wainwright
  WM Indiana- Illiana Partners, LLC  (joint venture of Walsh Investors, L.L.C. and Meridiam Infrastructure Illiana IN, LLC), partnering with Walsh Construction Company II, LLC as the builder, Parsons Transportation Group as the lead engineering firm and with others. [read post]
10 Feb 2014, 3:06 am by Peter Mahler
The common thread for these newborn LLCs is the inability or unwillingness of the business owners to invest upfront the financial resources needed to secure a customized, well-considered and well-drafted LLC agreement that anticipates and resolves through contractual means the kinds of potential disagreements — over management, finance, compensation, distributions, sale of equity stakes, etc. [read post]
19 Jan 2014, 9:01 pm
EY: Private Equity Funds Getting Hands DirtyHaving emerged from the global recession and its aftermath, the real estate private equity sector is finally positioned for growth in 2014, according to a global market trends outlook in real estate private equity published by EY (Ernst & Young). [read post]
26 Dec 2013, 1:27 pm
[Page 1:] The plaintiffs, Great Hill Equity Partners IV, LP, Great Hill Investors LLC, Fremont Holdco, Inc., and Bluesnap, Inc. [read post]
7 Oct 2013, 6:26 pm by Law Lady
GLENN MULLER, Appellee. 5th District.Signing with the express authority to sign is important in nursing home arbitration agreements:Torts -- Nursing homes -- Arbitration -- Validity of arbitration agreement -- Where husband of nursing home resident signed arbitration agreement without indicating his authority to sign agreement on behalf of resident, it was error for trial court to deny defendants' motion to compel arbitration without holding evidentiary hearing to determine the validity of the… [read post]
24 May 2013, 4:58 am
Starting around March 2008 and lasting until approximately  2009, David Eugene Howard II, 34, of Queens Village, NY told potential investors that his company, Flatiron Systems LLC, traded pooled equity accounts using a proprietary trading system called “Pathfinder.”  If you had at least $5,000, you would be able to avail yourself of this purportedly amazing opportunity. [read post]
22 Apr 2013, 8:05 am by Asher Bearman
  LLCs tend to be more complicated and expensive to setup and manage, particularly for operating businesses. [read post]
13 Nov 2012, 11:54 am
Superior Court (Monex), 176 Cal.App.4th 1554 (2009);andnbsp;andnbsp; ATandamp;T Mobility LLC v. [read post]
2 Oct 2012, 1:08 pm by Richard Renner
Titan Wealth Management, LLC, Point West Partners, LLC, and Thomas Lester Irby II Case number: 09-cv-00418 (United States District Court for the Eastern District of Texas) Case filed: August 25, 2009 Qualifying Judgment/Order: July 6, 2012 09/04/2012 12/03/2012 2012-94 SEC v. [read post]
6 Sep 2012, 9:17 am by Amber Walsh
In Part II of this blog series we look at recent transactions in the arena of contract research organization, with a particular focus on private equity investing in CROs. [read post]