Search for: "John Doe Entities 1-5" Results 21 - 40 of 855
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5 Jul 2011, 2:39 pm
NASAA Requests Public Comment on Model Exemptions from State Franchise LawsThis posting was written by John W. [read post]
17 Feb 2014, 12:05 pm by Lisa Baird
This post was written by Nan Bonifant, Brad Rostolsky, and John Wyand On February 6, 2014, the U.S. [read post]
7 Apr 2016, 3:38 am
The Board held that use of the wholly-owned subsidiary's registered mark by a parent entity does not inure to the benefit of its subsidiary when the parent controls the nature and quality of the goods. [read post]
21 Jan 2022, 4:45 pm by Eugene Volokh
Plaintiffs, John and Jane Doe 1, make claims on behalf of Child Doe 1, as an immunocompromised student, plus claims for a class of similarly situated students. [read post]
13 Jun 2011, 10:07 am by Kali Borkoski
This morning, the Court granted four new cases: 1. [read post]
16 May 2024, 12:11 pm by centerforartlaw
If the case does not settle, the court is likely to grapple with the issue of valuation of the damaged pieces. [read post]
28 Aug 2017, 6:46 pm by Caleb Skeath
  However, if the entity conducts an appropriate investigation and reasonably determines that the breach is unlikely to result in harm to the individuals whose personal information was breached, the entity does not need to provide credit monitoring services. [read post]
31 Oct 2023, 9:05 pm by renholding
Under the Texas Business Organizations Code, in a divisive merger in which the original entity does not survive, the liabilities of that entity are allocated to one or more of the new organizations, as provided in the plan of merger.[6]Not surprisingly, all J&J’s talc-related liabilities were allocated to LTL. [read post]
15 Nov 2019, 7:21 am by Seyfarth Shaw LLP
That way, the purchaser does not find itself in the unenviable position of chasing the seller for money. [read post]
17 Jun 2020, 3:48 pm by Jack Goldsmith, Marty Lederman
The U.S. government filed a civil suit on June 17 against former National Security Adviser John Bolton. [read post]
27 Nov 2019, 5:00 am by John Jascob
The Commission alleged that the defendants violated the antifraud provisions of the securities laws (Claims 1 and 2), the registration provisions of Securities Act Section 5 (Claim 3), and the broker-dealer registration provisions (Claim 4).Motion to dismiss. [read post]