Search for: "USA v. ITS Financial, LLC" Results 181 - 200 of 278
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9 Aug 2012, 4:11 pm by Seyfarth Shaw LLP
DirectSat USA, LLC and UniTek USA, LLC, the parties engaged in a long-fought battle involving claims of off-the-clock work in violation of the Fair Labor Standards Act and the wage and hour laws of three states. [read post]
12 Apr 2012, 1:27 pm by Lauren Abbott
On March 26, 2012, the Consumer Financial Protection Bureau (“CFPB”) filed an amicus curiae brief in Rosenfield v. [read post]
3 Apr 2012, 1:03 am by Kevin LaCroix
Supreme Court’s March 26, 2012 issuance of its unanimous opinion in the Credit Suisse Securities (USA) LLC v. [read post]
1 Feb 2012, 9:15 am by SteinMcewen, LLP
  The procedures are generally the same as the old interference law, including its odd timing requirements. [read post]
6 Jan 2012, 2:00 am by Stephanie Figueroa
 This post discusses this provision and the SEC’s recent appointment of Pamela Gibbs to head its recently created Office of Minority and Women Inclusion. 2) The Securities Law Blog: FINRA Fines Credit Suisse Securities $1.75 Million for Regulation SHO Violations and Supervisory Failures – This post details how FINRA fined Credit Suisse Securities (USA) LLC $1.75 million for violating Regulation SHO and failing to properly supervise short… [read post]
22 Dec 2011, 1:21 am by war
UMG Recording Inc v Shelter Capital Partners LLC. [read post]
29 Nov 2011, 1:20 am by Webmaster
 Going further, the Court announced its intention to appoint its own damages experts to testify at trial, stating:   Judge Alsup relied on the authority of Monolithic Power Sys. v. [read post]
27 Oct 2011, 2:42 pm by FDABlog HPM
(“MGP”), a U.S. affiliate of Wockhardt USA LLC (“Wockhardt”), recently filed a brief with the Court of Common Pleas of Philadelphia County in the metoclopramide litigation refuting Plaintiff’s RLD theory of liability. [read post]