Search for: "Security Services v. Equity Management" Results 301 - 320 of 545
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9 Feb 2017, 9:22 am by Paul Rosenzweig
(v)  Effective risk management requires Agency Heads to lead integrated teams of senior executives with expertise in IT, security, budgeting, acquisition, law, privacy, and human resources. [read post]
4 Jan 2017, 3:55 pm by nedaj
Schedule 13D is required when a manager is ineligible to file Schedule 13G and is due 10 days after acquisition of more than 5% beneficial ownership of a registered voting equity security. [read post]
26 Dec 2016, 12:42 pm by Kenneth Vercammen, Esq.
Medical expenses can be deducted in the inheritance tax.Under United States Supreme Court Case, Tulsa Professional Collection Services, Inc., v. [read post]
19 Dec 2016, 3:21 am by Peter Mahler
Second, Justice Bucaria found that the company “waived” the first offer provision in the 1988 shareholders agreement by virtue of Weber’s “many years of high level management service” for the company and because, as a company insider, selling the shares to Weber “would not create the disruption in relationships among shareholders that the first offer provision was intended to obviate. [read post]
16 Jun 2016, 2:48 pm by Kevin LaCroix
  Galen Marsh. 30-year old Galen Marsh joined Morgan Stanley in 2008 as a sales assistant, later becoming a customer service associate and then in 2014 a financial advisor. [read post]
10 Jun 2016, 6:15 am
Mirvis, Wachtell, Lipton, Rosen & Katz, on Friday, June 3, 2016 Tags: Acquisition agreements, Acquisition premiums, Arbitrage, Delaware cases, Delaware law, Fair values, Leveraged acquisitions, Management, Merger litigation, Private equity, Shareholder value The Effect of Staggered Boards on Stock Value: New Evidence Posted by Yakov Amihud, New York University Stern School of Business, on Saturday, June 4, 2016 Tags: Airgas v. [read post]
3 Jun 2016, 6:19 am
Karp, Paul, Weiss, Rifkind, Wharton & Garrison LLP, on Saturday, May 28, 2016 Tags: Accountability, Arbitration, Banks, CFPB, Class actions, Consumer protection, Contracts, Dodd-Frank Act, Financial institutions, Financial regulation Fed, FDIC, and “Not Credible” Resolution Plans Posted by Michael Krimminger and Sean O’Neal, Cleary Gottlieb Steen & Hamilton LLP, on Sunday, May 29, 2016 Tags: Bankruptcy, Bankruptcy Code, Banks, FDIC, Federal Reserve, Financial… [read post]
27 May 2016, 11:31 am by Dave Aitel
But in the context of complex and performance-critical applications using a secure (“managed”) language is not a reasonable trade off. [read post]
20 May 2016, 6:45 am
Thomas School of Law, on Thursday, May 19, 2016 Tags: Compliance & ethics, Dodd-Frank Act, Financial regulation, Fund managers, Private equity, Private funds,Securities regulation, Surveys Intersection of Deal-Related Indemnification and D&O Advancement Posted by Daniel E. [read post]
14 Jan 2016, 5:10 pm by Trent Dykes
  Proxy advisors Institutional Shareholder Services (ISS) and Glass Lewis each published proxy access policies, with ISS generally supporting management and shareholder proposals for proxy access that comport with the 3 percent/3-year/25 percent formulation and Glass Lewis evaluating such proposals on a case-by-case basis. [read post]
30 Nov 2015, 1:00 pm by Thomas G. Heintzman
The recent judgment of the Supreme Court of the United Kingdom in Cavendish Square Holding BV v Talal El Makdessi is a must-read for anyone involved in contract law. [read post]
25 Nov 2015, 9:35 am by D. Daxton White
Dax White is the managing partner of the White Law Group, a national securities fraud, securities arbitration and investor protection law firm with offices in Chicago, Illinois and Vero Beach, Florida. [read post]