Search for: "Gordon Investments LLC" Results 21 - 40 of 104
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29 Aug 2018, 6:06 pm by Francis Pileggi
  Agency Costs of Agency Capitalism and Shareholder Voting The Delaware Supreme Court said in Crown Emak Partners, LLC v. [read post]
9 Jul 2018, 12:46 pm by Silver Law Group
  Morgan Stanley DW Inc   Cynthia Mae Moore   The Huntington Investment Company   Felipe De Jesus U Munive   Allstate Financial Services, LLC   Gordon Beecher Nitka   MML Investors Services, LLC   MassMutual Life Insurance Company   Daniel Ochoa   Farmers Financial Solutions, LLC   Joshua Alexander Stephens-Anselm   JP Morgan Securities LLC   Capital One Bank NA   John Bradford… [read post]
31 Dec 2017, 1:46 pm by Kelly Phillips Erb
Treasury (34) @lypierceCPA – Lykethia Pierce, CPA – CEO of Pierce, CPA & Associates LLC| Check out what I have a flair (e.g., accounting, biz, people, life…) for | Phone no. (205) 370-4508/@AuthenticCPA (35) @LTWLAW – Louis T. [read post]
21 Dec 2017, 6:00 am by Doug Cornelius
IA-4337 (February 22, 2016) (notice) and IA-4355 (March 21, 2016) (order); Angelo, Gordon & Co., LP, Investment Advisers Release Nos. [read post]
6 Oct 2017, 6:09 am
Bout and Blaine Martin, Pay Governance LLC, on Friday, September 29, 2017 Tags: Boards of Directors, Compensation committees, Executive Compensation, Incentives, Institutional Investors, Management, Proxy advisors, Say on pay, Shareholder value, TSR Activism and Board Diversity Posted by David A. [read post]
1 Mar 2017, 9:30 am by Legal Beagle
Background:  investment company affected by fraud [8]        HC is an investment company incorporated in the Isle of Man in 2005. [read post]
26 Dec 2016, 4:30 am by Ben
2016 - it's been another frantic copyright year - and buzz words and themes for the twelve months included 'the value gap' between the content industries and the technology giants, linking, that 'new public', fair use, 'transformative' art, and the ongoing reform of copyright laws - in Europe, and in particular reforms to the Digital Millennium Copyright Act in the USA. [read post]
16 Jun 2016, 2:48 pm by Kevin LaCroix
 According to the SEC:   The federal securities laws require registered broker-dealers and investment advisers to adopt written policies and procedures reasonably designed to protect customer records and information. [read post]
31 May 2016, 1:19 pm by Mark Astarita
 According to the SEC’s complaint filed in federal court in Atlanta:The two private hedge funds managed by Hope Advisers and Bruton – named Hope Investments LLC and HDB Investments LLC – have more than $175 million in net asset value.Hope Advisers receives its only compensation for managing the funds in the form of an incentive fee, calculated as a share of the profits (10 or 20 percent) earned in the funds’ accounts each month.Hope… [read post]
9 May 2016, 12:05 am by Anthony Fairclough
Campbell v Gordon (Scotland), heard 11 April 2016. [read post]