Search for: "State v. Barts" Results 181 - 200 of 251
Sort by Relevance | Sort by Date
RSS Subscribe: 20 results | 100 results
18 Jun 2010, 3:17 am by traceydennis
Court of Appeal (Civil Division) QFS Scaffolding Ltd. v Sable & Anor [2010] EWCA Civ 682 (17 June 2010) Keefe v The Isle of Man Steam Packet Company Ltd [2010] EWCA Civ 683 (17 June 2010) Seadrill Management Services Ltd & Anor v OAO Gazprom [2010] EWCA Civ 691 (17 June 2010) Bradley Fold Travel Ltd & Anor v Secretary of State for Transport [2010] EWCA Civ 695 (18 June 2010) Ministry of Justice v Carter [2010] EWCA Civ 694 (18 June… [read post]
23 May 2010, 8:31 pm by Hedge Fund Lawyer
‘‘(30) The term ‘foreign private adviser’ means any investment adviser who— ‘‘(A) has no place of business in the United States; ‘‘(B) has, in total, fewer than 15 clients who are domiciled in or residents of the United States;  on DSKH9S0YB1PROD with BILLS ‘‘(C) has aggregate assets under management attributable to clients in the United States and investors in the United States in private… [read post]
21 May 2010, 12:16 pm by Robert Oszakiewski
Bart Gordon of Tennessee introduced HR 5116, the America COMPETES Reauthorization Act of 2010, which was then referred to the House Committee on Science and Technology and the House Committee on Education and Labor. [read post]
5 Apr 2010, 6:56 am
 Thus, in the 1991 case of Rust v. [read post]
22 Mar 2010, 9:02 pm by Hedge Fund Lawyer
While state laws were able to address many of these cases after the fact, the Commission sought to regulate the industry as a proactive means to prevent fraud. [read post]
14 Jan 2010, 9:15 pm by Hedge Fund Lawyer
Eligible contract participant The term “eligible contract participant” means— (A) acting for its own account— (i) a financial institution; (ii) an insurance company that is regulated by a State, or that is regulated by a foreign government and is subject to comparable regulation as determined by the Commission, including a regulated subsidiary or affiliate of such an insurance company; (iii) an investment company subject to regulation under the Investment Company Act… [read post]
8 Jan 2010, 9:21 pm by Gilles Cuniberti
The Court of Justice in its recent judgment of 6 October 2009, ICF v. [read post]
10 Dec 2009, 4:38 am
The object of this case is a ruling of the Court of First Instance in Schräder v CPVO (Case T-187/06) mentioned on your website in November 2008 [here and here]. [read post]
19 Nov 2009, 4:13 pm by Hedge Fund Lawyer
The amendments: specify detailed information that must be included in the periodic account statements and annual reports for commodity pools with more than one series or class of ownership interest; clarify that the periodic account statements must disclose either the net asset value per outstanding participation unit in the pool or the total value of a participant’s interest or share in the pool; extend the time period for filing and distributing annual reports of commodity pools that invest… [read post]