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1 Dec 2022, 1:58 pm by Kevin LaCroix
“This is an historic result — one that can be the product only of a very strong case,” said Minor Myers, a professor at the University of Connecticut School of Law. [read post]
22 Feb 2019, 6:09 am
Region Posted by Brianna Ang, Equilar, Inc., on Saturday, February 16, 2019 Tags: Board composition, Boards of Directors, California, Diversity, ESG, Institutional Investors, ISS, Shareholder voting, State law Practical Lessons in Boardroom Leadership Posted by Joseph Mandato, DeNovo Ventures and William Devine, William Devine Esquire, on Saturday, February 16, 2019 Tags: Board dynamics, Board… [read post]
15 Jul 2013, 4:30 am
DealFlow provides independent research services and analysis for finance professionals such as investment managers, law firms, banks, public and private corporations, hedge funds, and financial companies. [read post]
20 Nov 2008, 2:15 pm
Ch., Sept. 19, 2008), shareholders of Loral Space and Communications Inc. [read post]
5 Aug 2013, 1:12 pm by WIMS
 [#Energy/Frack] Waste Information & Management Services, Inc. [read post]
14 Jan 2011, 2:11 am by Andrew Lavoott Bluestone
Typically a claim of breach of fiduciary duty involving an attorney will be an afterthought, or an alternative pleading, sometimes a duplicitive one, sometimes an independent cause of action. [read post]
3 Jan 2024, 12:08 am by Adeline Chong
Guest post by Professor Yeo Tiong Min, SC (honoris causa), Yong Pung How Chair Professor of Law, Yong Pung How School of Law, Singapore Management University Merck Sharp & Dohme Corp (formerly known as Merck & Co, Inc) v Merck KGaA (formerly known as E Merck) [2021] 1 SLR 1102, [2021] SGCA 14 (“Merck”), noted previously, is a landmark case in Singapore private international law, being a decision of a full bench of the Court of Appeal setting out for the… [read post]
19 Feb 2016, 6:09 am
Trotter, Latham & Watkins LLP, on Monday, February 15, 2016 Tags: Board communication, Boards of Directors, Compliance and disclosure interpretation, Confidentiality,Cybersecurity, Director liability, Disclosure, Risk management The “New Insiders”: Rethinking Independent Directors’ Tenure Posted by Yaron Nili, Harvard Law School, on Tuesday, February 16, 2016 Tags: Board composition, Board independence, Board performance, Board turnover,… [read post]
16 Nov 2018, 5:45 am
Tiger, Cleary Gottlieb Steen & Hamilton LLP, on Tuesday, November 13, 2018 Tags: Board independence, Boards of Directors, Conflicts of interest, Controlling shareholders, Delaware cases, Delaware law, DGCL, Listing standards, Management, NYSE, Securities litigation Private Equity Indices Based on Secondary Market Transactions Posted by Michael S. [read post]
29 Nov 2009, 9:07 am
Frank Armstrong has more than 35 years of experience in the securities and financial services industry and is the founder and principal of Investor Solutions, Inc., a fee-only registered investment advisor, based in Miami. [read post]
29 Nov 2009, 9:07 am
Frank Armstrong has more than 35 years of experience in the securities and financial services industry and is the founder and principal of Investor Solutions, Inc., a fee-only registered investment advisor, based in Miami. [read post]
23 Mar 2018, 6:23 am
Sridharan (Northwestern University), on Sunday, March 18, 2018 Tags: Behavioral finance, Boards of Directors, Earnings management, Entrenchment, Equity-based compensation, Executive Compensation, Incentives, Long-Term value, Management, Pay for performance, Say on pay, Short-termism The Appraisal of AOL, Inc. [read post]