Search for: "Cooley v. Post*" Results 221 - 240 of 269
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20 Feb 2019, 2:13 pm by admin
Jeffries Homes Housing Project, 306 Mich 638, 647-48; 11 NW2d 272 (1943); Grand Rapids Bd of Ed v Baczewski, 340 Mich 265, 270-71; 65 NW2d 810 (1954); Dep’t of Conservation v Connor, 316 Mich 565, 576-78; 25 NW2d 619 (1947). 9  See Chicago, Detroit, etc v Jacobs, 225 Mich 677; 196 NW 621 (1924); Michigan Air Line Ry v Barnes, 44 Mich 222; 6 NW 651 (1880); Toledo, etc R Co v Dunlap, 47 Mich 456; 11 NW 271 (1882); Detroit, etc R Co v. [read post]
24 Dec 2021, 6:26 am
Peregrine, McDermott, Will & Emery LLP, on Monday, December 20, 2021 Tags: Accounting, Accounting standards, Audits, Boards of Directors, Corporate fraud, External auditors, Financial regulation, Internal auditors, PCAOB, Sarbanes–Oxley Act, Securities regulation Corporate Implications from COP26 Posted by Lee Anne Hagel and Kilian Moote (Georgeson) and Harry Etra (HXE Partners LLC), on Monday, December 20, 2021 … [read post]
6 Oct 2017, 6:09 am
Fang, University of Minnesota; and Allen Huang, Hong Kong University of Science and Technology, on Wednesday, October 4, 2017 Tags: Agency costs, Equity-based compensation, Executive Compensation, Executive performance, Incentives, Long-Term value, Management, Mergers & acquisitions, Repurchases, Shareholder value, Short-termism CEO and Executive Compensation Practices: 2017 Edition Posted by Matteo Tonello, The Conference… [read post]
3 Dec 2021, 6:06 am
Adams (University of Oxford), Vanitha Ragunathan (University of Queensland), and Robert Tumarkin (University of New South Wales), on Monday, November 29, 2021 Tags: Board communication, Board dynamics, Boards of Directors, Decision-making, Disclosure, Outside directors, Sarbanes–Oxley Act, Securities regulation, Special committees Recent Shareholder Activism Trends Posted by George Casey, Scott Petepiece, and Lara Aryani, Shearman… [read post]
5 Apr 2019, 5:58 am
Pruitt, Jones Day, on Tuesday, April 2, 2019 Tags: Broker-dealers, Conflicts of interest, Disclosure, Investment advisers, Investor protection, Mutual funds, Reporting regulation, Retail investors, SEC, SEC enforcement FCPA and the Commodity Exchange Act: A New Relationship Posted by David Yeres, David DiBari, and Robert Houck, Clifford Chance US LLP, on Tuesday, April 2, 2019 … [read post]
10 Jan 2013, 5:55 am by Barbara Bavis
  Further, the United States Supreme Court recently heard arguments in Vance v. [read post]
23 Mar 2018, 6:23 am
Wang (Harvard Business School), on Monday, March 19, 2018 Tags: Equity-based compensation, Executive Compensation, Inequality, Institutional Investors, Long-Term value, Payouts, Public interest, R&D, Repurchases, Securities regulation, Shareholder value Risk Management and the Board of Directors Posted by Martin Lipton, Sabastian V. [read post]
12 Apr 2019, 6:20 am
Securities and Exchange Commission, on Wednesday, April 10, 2019 Tags: Accountability, No-action letters, Public interest, SEC, Securities regulation, Transparency Executive Long-Term Incentive Plans Posted by Joseph Kieffer, Equilar Inc., on Thursday, April 11, 2019 Tags: Compensation ratios, Equity-based compensation, Executive Compensation, Incentives, Management, Pay for performance The SEC v. [read post]
16 Aug 2019, 6:00 am
Posner, Cooley LLP, on Thursday, August 15, 2019 Tags: Board composition, Board turnover, Boards of Directors, Director nominations, Director qualifications, Diversity, Public firms, SEC, Securities regulation [read post]