Search for: "Aegis Security Insurance Company" Results 1 - 20 of 20
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1 Mar 2021, 4:52 pm by admin
Company/Group Market Share Number of Complaints Complaint Index State Farm Group 26% 163 0.90856 FedNat Holding Company Group 3.9% 93 3.48228 GeoVera Specialty Insurance Company 1.8% 66 5.25358 United Insurance Holdings Group 4% 52 1.87236 Allstate Insurance Group 10.8% 51 0.68065 Allied Trust Insurance Company 0.9% 40 6.32678 TWIMG Group 3.1% 23 1.08225 USAA Group 6.2% 23 0.53878 Liberty Mutual Group 5.6% 18 0.46819 Progressive… [read post]
4 Mar 2021, 7:34 am by Larry
Aegis Security Insurance Co. and Aegis v. [read post]
8 Dec 2017, 6:51 am by Adam Weinstein
In the industry the term selling away refers to when a financial advisor solicits investments in companies, promissory notes, or other securities that are not pre-approved by the broker’s affiliated firm. [read post]
31 May 2017, 6:08 am by Adam Weinstein
In the industry the term selling away refers to when a financial advisor solicits investments in companies, promissory notes, or other securities that are not pre-approved by the broker’s affiliated firm. [read post]
14 Jun 2017, 7:52 am by Adam Weinstein
In the industry the term selling away refers to when a financial advisor solicits investments in companies, promissory notes, or other securities that are not pre-approved by the broker’s affiliated firm. [read post]
30 Oct 2020, 3:21 am by Alan Rosca
Investment adviser Dwight Dykstra, currently registered with Aegis Wealth Management, and Alternative Investment Advisors, both in Maitland, Florida, allegedly participated in private securities transactions by soliciting investments in promissory notes issued by a limited liability company by raising capital to develop  a senior living real estate project, according to his FINRA Brokercheck Report, under review by attorney Alan Rosca. [read post]
30 Oct 2020, 3:21 am by Alan Rosca
Investment adviser Dwight Dykstra, currently registered with Aegis Wealth Management, and Alternative Investment Advisors, both in Maitland, Florida, allegedly participated in private securities transactions by soliciting investments in promissory notes issued by a limited liability company by raising capital to develop  a senior living real estate project, according to his FINRA Brokercheck Report, under review by attorney Alan Rosca. [read post]
16 Jan 2009, 11:20 pm
This discovery following its quantitative analysis became the basis for the Court's ultimate holding.In addition, the Court noted a 1:1 ratio was consistent with State Farm Mutual Automobile Insurance Company v. [read post]
19 Aug 2021, 12:21 pm by Law Lady
NATIONWIDE MUTUAL FIRE INSURANCE COMPANY, Appellee. 2nd District.Insurance -- Homeowners -- Directed verdict -- Error to enter directed verdict in insurer's favor on claim that insurer breached contract by not fully paying for a covered loss within 20 days of receiving insured's sworn proof of loss based on trial court's conclusion that insurer had 90 days to investigate claim -- Subsection in loss-payment provision of… [read post]
14 May 2009, 4:42 am
My conclusion back then rested on the simple consideration that since I was a librarian and was acting under the aegis of a university, I had no problem. [read post]
14 Sep 2022, 8:37 pm by Jonathan Bench
Starbucks’ CMO said, “the company wanted to invest in this area, but not as a ‘stunt’ side project, as many companies are doing. [read post]
14 Mar 2016, 4:35 pm by Kevin LaCroix
  Interestingly, Aegis, the defendant party to the settlement as Fortis’s successor in interest, is a Belgium company, not a Dutch company, and the Dutch procedures are being used to resolve the claims of investors in a variety of countries and who purchased Fortis shares on a variety of exchanges located in several different countries. [read post]
15 Apr 2018, 11:50 am by Larry
Aegis Security Insurance Co. and Tricots Liesse 1983, Inc., a recent decision of the Court of International Trade adds even more heft to the exhaustion requirement.The underlying issue here is a messy series of NAFTA claims, a prior disclosure, followed by an offer in compromise, and a penalty notice. [read post]
25 May 2011, 4:10 pm by Dean Gonsowski
Companies must also employ a cross-discipline approach to issues in order to properly address access rights, digital security, Records and Information Management policies and programs, short and long-term data storage strategies, audit processes, enforcement protocols, incident and litigation response plans, and employee education programs. [read post]
17 May 2016, 4:24 am by Amber Walsh
Healthcare companies in its portfolio include AmWINS Group, a wholesale insurance broker; Sage Products, a developer of products to help prevent hospital-acquired conditions; Cole-Parmer Instrument Company, a provider of laboratory and industrial fluid handling products; and Alcami Holdings, a supplier of pharmaceutical development and manufacturing services. [read post]
4 Mar 2024, 5:56 pm
TheCTA exempts twenty-four kinds of entities from its reporting requirements,including banks, insurance companies, and entities with more than twentyemployees, five million dollars in gross revenue, and a physical office in the UnitedStates. [read post]