Search for: "Austin Mutual Insurance Company" Results 1 - 20 of 107
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9 Feb 2024, 6:30 am
Posted by the Harvard Law School Forum on Corporate Governance, on Friday, February 9, 2024 Editor's Note: This roundup contains a collection of the posts published on the Forum during the week of February 2-8, 2024 The Corporate Investment Benefits of Mutual Fund Dual Holdings Posted by Rex Wang Renjie (Vrije Universiteit Amsterdam), Patrick Verwijmeren (Erasmus School of Economics), and Shuo Xia (Halle Institute for Economic Research), on Friday, February 2, 2024 Tags: corporate… [read post]
9 Feb 2024, 6:30 am
Posted by the Harvard Law School Forum on Corporate Governance, on Friday, February 9, 2024 Editor's Note: This roundup contains a collection of the posts published on the Forum during the week of February 2-8, 2024 The Corporate Investment Benefits of Mutual Fund Dual Holdings Posted by Rex Wang Renjie (Vrije Universiteit Amsterdam), Patrick Verwijmeren (Erasmus School of Economics), and Shuo Xia (Halle Institute for Economic Research), on Friday, February 2, 2024 Tags: corporate… [read post]
20 Dec 2023, 2:50 pm by Cynthia Marcotte Stamer
A sexual harassment and retaliation lawsuit filed December 20, 2023 by Equal Employment Opportunity Commission (“EEOC”) against Austin, Texas based South Austin Nissan warns other employers to ensure their sexual harassment investigation and other practices can withstand EEOC scrutiny. [read post]
8 Apr 2022, 2:05 am by Editors
(Remote) Senior Counsel – Corporate, Intact Insurance Specialty Solutions (Minneapolis, MN) Senior Legal Counsel, Chantecaille (New York, New York) In-House Securities Counsel for Family Office, Manhattan Legal Group (Fully Remote / Hybrid) Associate Commercial Counsel, Via (New York, NY) Associate GC – Securities Attorney at Music Company, at EP Dine Inc. [read post]
CERCLA provides two mutually exclusive avenues for parties to recoup cleanup costs: cost-recovery actions and contribution actions. [read post]
16 Jul 2021, 6:18 am
Cohen, and Nader Salehi, Sidley Austin LLP, on Monday, July 12, 2021 Tags: Asset management, Disclosure, ESG, Institutional Investors, Mutual funds, Private funds, SEC, Securities regulation SEC Enforcement Action Highlights Need for Internal Communications About Cybersecurity Problems Posted by Matthew Bacal, Robert Cohen, and Joseph Hall, Davis Polk & Wardwell LLP, on Monday, July 12, 2021 … [read post]
24 May 2021, 3:06 pm by William Ford, Matt Gluck
The subcommittee will hear testimony from Lloyd Austin III, defense secretary, and Mark Milley, chairman of the Joint Chiefs of Staff. [read post]
19 May 2021, 10:14 pm by Josh Blackman
Under Category #7, an insurance company could not invoke the constitutional rights of a third party, such as a pregnant woman seeking an abortion. [read post]
14 Dec 2020, 10:01 am by William Ford, Tia Sewell
The position begins in January 2021 and  will last for twelve months, with the possibility of an eight-month extension by mutual agreement. [read post]
20 Jul 2020, 7:00 am by Unknown
Moreover, the Antilles’ low-tax regime for foreign-owned companies attracted early hedge funds and captive insurance companies that were able to operate as Antilles corporate entities with only minor inconvenience. [read post]
1 Nov 2019, 2:48 pm by Silver Law Group
SEC Investigates VALIC Recently, the Securities and Exchange Commission (SEC) announced its investigation into the Variable Annuity Life Insurance Company (Valic), an American International Group, Inc. [read post]
4 Oct 2019, 2:35 pm by MOTP
Under the Federal Arbitration Act (FAA), arbitration agreements need not be signed as long as mutual assent is present, and the arbitration agreement could be severed from the remainder of the fee agreement if the other terms were held to be unenforceable as a matter of state law governing legal services agreements that provide for a contingent recovery of fees from judgment or settlement proceeds. [read post]
8 Jul 2019, 8:39 am by Vishnu Kannan
Customs and Border Protection; Austin Gould, Assistant Administrator, Transportation Security Administration; Joseph R. [read post]
25 Apr 2019, 12:02 pm by Silver Law Group
According to FINRA Disciplinary actions for April 2019, the following individuals were barred from FINRA and cannot currently work for a FINRA brokerage firm for failing to provide FINRA with information it requested or to keep information current with FINRA pursuant to FINRA rules: NAME FORMER EMPLOYERS   Austin, Phillip   JP Morgan Securities   Chase Investment Services   Bishop, Tywan   Charles Schwab & Co   E Trade Securities    Delaney,… [read post]