Search for: "DIVISION OF RISK MANAGEMENT" Results 3381 - 3400 of 5,186
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25 Aug 2014, 5:06 am
Neil examines the extent to which commercially successful creative content can be managed. [read post]
22 Aug 2014, 6:23 am by Schachtman
  Parascandola calls this “joint chancy causation,” but he manages to show only that the inference of causation from prior chance or risk is a very chancy (or dicey) step in his argument. [read post]
19 Aug 2014, 2:05 pm by John Jascob
This information must include total assets under management (AUM), use of leverage, counterparty credit risk exposure, and trading practices. [read post]
14 Aug 2014, 6:01 am
Property is quite useful for developing an understanding of the structures for managing the power to control and exploit things, principally real estate in the first year. [read post]
14 Aug 2014, 5:14 am by Jon Hyman
On June 14, 2006, the management team (including Carlin, then the CIO) met to discuss new roles for current IT employees. [read post]
11 Aug 2014, 9:30 pm by Tim Yang
The federal government manages natural resources on about 650 million acres of land, which is about 30 percent of the land in the United States. [read post]
11 Aug 2014, 7:44 am by Ronald Collins
The presence of this . . . risk warns against use of special, strong pro-speech judicial presumptions or special regulation-skeptical of judicial review. [read post]
11 Aug 2014, 4:13 am
 Howden Windsor clients who are insured by A-rated insurer AmTrust Europe can save money on their Professional Indemnity Insurance (PII) premium each and every time they use COMPLETIONmonitor, Lexsure’s bespoke conveyancing risk management tool. [read post]
8 Aug 2014, 11:34 am by News Desk
” “The presence of potentially harmful pathogens in food and processing facilities poses a serious risk to the public health,” said Assistant Attorney General Stuart Delery of the DOJ’s Civil Division. [read post]
8 Aug 2014, 4:30 am by INFORRM
Even before MPS corporate reputation was put at risk, whose personal and professional embarassment was at stake? [read post]
7 Aug 2014, 5:22 pm by Rebecca Tushnet
  NLRA has now gone in direction of entrepreneurial risk/reward.Where did the non-Restatement factors in CCNV come from? [read post]
6 Aug 2014, 7:17 am by Joy Waltemath
 The assistant division superintendent conducted an investigative hearing under the employer’s collective bargaining agreement, and then it terminated his employment. [read post]
4 Aug 2014, 7:00 am
The SEC’s Division of Investment Management is working on two ways to make its Risk and Examinations Office effective. http://www.sec.gov/News/Speech/Detail/Speech/1370540048684#.Uml5uBAWkoo. [read post]
3 Aug 2014, 8:55 pm by Allison Tussey
He reported to David Higgs, a Managing Director, who in turn reported to Kareem Serageldin, the Global Head of the Structured Credit Group in the Securities Department of Siddiqui’s Investment Banking Division. [read post]
2 Aug 2014, 7:37 am
More than 10 percent of its business comes from its Asia, Middle East, and Africa division, which employs 1,300 people. [read post]
31 Jul 2014, 3:56 pm by Pamela Wolf
“Millions of jobs and the livelihoods of hundreds of thousands of independent franchise small businesses are now at risk due to the radical and unprecedented nature of this decision,’ Caldeira suggested. [read post]
31 Jul 2014, 6:42 am by Susan Schneider
 LL.M. colleagues in Washington gathered to congratulate A-dae.Pictured, left to right:Amy Lowenthal, LL.M. alumna and Assistant Counsel to the Inspector General, USDA; Richard Flournoy, LL.M. alumnus and Assistant to the Administrator, Risk Management Agency, USDA; Kelvin Stroud, current part-time LL.M. candidate and Legislative Assistant for Senator Mark Pryor; Jennifer Fiser, LL.M. alumna and Agricultural Program Specialist, Disaster Assistance Branch, Farm… [read post]
29 Jul 2014, 7:00 am
  Further, the SEC’s Enforcement Division will also likely return to areas that it has not pursued as vigorously as it once did because of limited resources, such as accounting fraud and micro-cap stock fraud, as well as pursue some new areas as well, including the market access rule, Securities Exchange Act of 1934 Rule 15c3-5, prohibiting companies from providing customers with unfiltered access to an exchange or alternative trading system and requiring broker-dealers to put in… [read post]