Search for: "DEFENDER SECURITY COMPANY" Results 3021 - 3040 of 17,831
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27 May 2011, 9:26 am by Mike Scarcella
Department of Insurance, Securities and Banking approves seeking a certificate that would allow another company to serve as the insurance carrier for the FEPL program. [read post]
19 May 2008, 5:07 am
District Court Erred in Remanding Class Action to State Court because while Class Action Complaint Involved Sale of Securities it was Premised on Fraudulent Concealment of Company’s Financial Condition so Exception to CAFA (Class Action Fairness Act) Removal Jurisdiction did not Apply Second Circuit Holds Plaintiffs filed a putative class action in New York state court against various defendants, including Agway (the issuer) and PriceWaterhouseCoopers (its… [read post]
29 Nov 2020, 12:55 pm by Kevin LaCroix
The complaint alleges that the defendants violated Sections 10(b) and 20(a) of the Securities Exchange Act of 1934 and Rule 10b-5 thereunder. [read post]
3 Sep 2009, 2:27 am
  Moreover, the Eighth Circuit said nothing that would aid other arguments that defendants typically try to make in these cases, such as for example that their companies’ misfortunes were simply the result of the global financial downturn. [read post]
6 May 2010, 1:38 am by Kevin LaCroix
  In the third largest options backdating-related securities class action lawsuit settlement, Maxim Integrated Products has agreed to settle the claims against all defendants in the options-related securities suit pending against the company for a payment of $173 million. [read post]
9 Jan 2012, 12:58 am by Kevin LaCroix
Back in February 2007, when investors in New Century Financial Corporation filed a securities class action lawsuit against the company and certain of its directors and officers, there was little reason to suspect at the time that problems at the company represented the leading edge of a looming financial crisis or that the case itself was the first lawsuit in what ultimately grew to become a mountain of subprime and credit crisis-related litigation. [read post]
16 Dec 2013, 8:29 am by David Cosgrove
Finally, anyone who has defended an agent or investment adviser representative before a state securities regulator might take some comfort in the Presiding Justice's dissenting opinion in this case. [read post]
22 Nov 2016, 8:00 am by Stewart Baker
 At least that seems to be the gravamen of Kaspersky’s complaint that Microsoft Defender is killing third party antivirus companies. [read post]
12 Jun 2019, 12:00 pm by ccollins
The government-owned mortgage company had invested in over $1B in RMBSs backed by NovaStar loans prior to the 2008 financial crisis. [read post]
19 Apr 2012, 5:00 am by Lina Jasinskaite
  The SEC asserted violations of Section 17(a) of the Securities Act of 1933 (“’33 Act”), Section 10(b) and Rule10b-5 of the Securities Exchange Act of 1934 (“’34 Act”), and certain sections of the Investment Company Act of 1940 (“’40 Act”). [read post]
31 May 2021, 11:24 am by Kevin LaCroix
”   The complaint alleges that the defendants’ statements or omissions violated Sections 10(b) and 20(a) of the Securities Exchange Act of 1934 and Rule 10b-5 thereunder. [read post]
2 Aug 2012, 6:40 am by Stanley D. Baum
Aetna Life Insurance Company, No. 11-3295 (8th Cir. 2012), the defendant, Aetna Life Insurance Company ("Aetna"), as plan administrator of a welfare benefits plan (the "Plan"), determined that the plaintiff, Sharon Wade ("Wade"), was no longer disabled and stopped paying long-term disability ("LTD") benefits to her from the Plan. [read post]
29 Jun 2011, 3:25 pm by Stanley D. Baum
Defendant Aetna Life Insurance Company ("Aetna") was the plan administrator and insurer under the employer's plan. [read post]
11 Mar 2010, 12:37 pm by Steve Bainbridge
Eight (out of 11) members of Toll Brothers board of directors sold significant amounts of the company’s stock between December 2004 and September 2005. [read post]
22 Jan 2021, 1:00 pm by Silver Law Group
A class action lawsuit was filed against the company by a shareholder, which alleges that the proxy statements MVP REIT II filed with the SEC for approval to merge with MVP REIT “contained false and misleading statements, that the director defendants breached their fiduciary duties, and the proposed internalization transaction will unjustly enrich certain directors and officers of the company. [read post]
5 Nov 2012, 12:47 am by Kevin LaCroix
According to the plaintiff’s lawyers’ November 2 press release (here), the defendant directors and officers and the holding company violated the federal securities laws by “issuing false and misleading information to investors about the Company's financial and business condition. [read post]
28 Nov 2022, 1:19 pm by Kevin LaCroix
The complaint alleged that the defendants made misrepresentations to shareholders about the sources of Jeld-Wen’s business success. [read post]
Last month, we reported on the ongoing insurance coverage dispute between commercial landlord KVP Properties, Inc. and its property insurer, Westfield Insurance Company. [read post]
1 May 2018, 9:14 am by Renae Lloyd
In the second phase of the alleged scheme, the SEC’s complaint alleged that Esposito and Lionshare, together with co-defendant Anthony Jay Pignatello, concealed Esposito and Lionshare’s de facto control of Cannabiz and a large percentage of Cannabiz’s securities in order to evade SEC Rule 144, which limits securities sales by certain company affiliates, such as control persons. [read post]