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17 Oct 2018, 4:19 pm by Cynthia Marcotte Stamer
  In addition to HIPAA’s Security Rules for ePHI, HIPAA Entities typically also are subject to a hodgepodge of non-HIPAA statutory, regulatory and/or contractual obligations to safeguard patient, employee, business partners and other individual, financial, health, tax, peer review and credentialing, trade secrets and other confidential information against improper use, access, destruction or disclosure. [read post]
16 Oct 2018, 3:55 pm by Cynthia Marcotte Stamer
Well known for her extensive work with health care, insurance and other highly regulated entities on corporate compliance, internal controls and risk management, her clients range from highly regulated entities like employers, contractors and their employee benefit plans, their sponsors, management, administrators, insurers, fiduciaries and advisors, technology and data service providers, health care, managed care and insurance, financial services, government… [read post]
16 Oct 2018, 3:09 am by Hedge Fund Lawyer
 On September 12, the SEC charged a hedge fund advisor with illegally profiting from a “short-and-distort” scheme. [read post]
It is not hard to imagine the financial services landscape looking radically different in just a few years. [read post]
It is not hard to imagine the financial services landscape looking radically different in just a few years. [read post]
12 Oct 2018, 12:23 pm by Silver Law Group
(AFIN) and other illiquid investments by Centaurus Financial and several advisors including Marco Azizi. [read post]
12 Oct 2018, 6:28 am
The Financial Crisis 10 Years Later: Lessons Learned Posted by Brad Karp, Paul, Weiss, Rifkind, Wharton & Garrison LLP, on Friday, October 5, 2018 Tags: Banks, Boards of Directors, Executive Compensation, Financial crisis, Financial institutions, Financial regulation, Risk management, Securities regulation, Systemic risk The Effects of Internal Board Networks: Evidence from Closed-End Funds Posted by… [read post]
11 Oct 2018, 4:35 pm by Dillon L. Roberts
The proposed regulations define “specified service trade or business” as any business in the fields of health, law, accounting, actuarial science, performing arts, consulting, athletics, financial services, brokerage services, investing and investment management, trading, dealing in securities, or any trade or business where the principal asset of the business is the reputation or skill of one of its employees or owners. [read post]
11 Oct 2018, 10:58 am by ccollins
Previous to that, he was a UBS Financial Services (UBS) broker. [read post]
8 Oct 2018, 4:28 pm by Kevin LaCroix
With potential penalties of that magnitude available, GDPR has captured the attention of corporate executives and their advisors everywhere. [read post]
6 Oct 2018, 6:04 am by Arina Shulga
From the securities and commodities industry to the financial services industry, cryptocurrencies face a variety of regulatory hurdles. [read post]
5 Oct 2018, 8:25 am by SEClaw Staff
We represent investors, financial professionals and investment firms, nationwide. [read post]
5 Oct 2018, 8:25 am by SEClaw Staff
We represent investors, financial professionals and investment firms, nationwide. [read post]
4 Oct 2018, 8:33 am by David B. West
To sign up for e-mail updates from the NextGen Financial Services Report, click here. [read post]
3 Oct 2018, 7:17 am by Michelle Santarossa
Whether you are seeking to buy a services, manufacturing, or other type of business, there are many issues that you should consider when structuring and negotiating the terms of the transaction. [read post]
2 Oct 2018, 12:41 pm by Ellen Savage
Known as “qualifying exigencies,” these situations could include time off for official ceremonies, briefings, changes to child care arrangements, financial or legal arrangements, counseling or spending time with the covered service member during rest and recuperation leave, among others. [read post]
2 Oct 2018, 5:44 am by Silver Law Group
According to FINRA Disciplinary actions for September 2018, the following individuals were suspended from FINRA for failing to comply with a FINRA arbitration award or settlement agreement pursuant to FINRA rules: NAME FORMER EMPLOYERS   Heath Bowen   Allegis Investment Services, LLC   Signator Financial Services, Inc   William Eaton   LPL Financial, LLC   Wells Fargo Advisors, LLC   Yosef Fox   Ditto Trade, Inc… [read post]