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26 Jan 2010, 7:40 am by admin
Or that investors think big banks are less likely to need bailout. [read post]
23 Sep 2021, 10:00 am
  They might be brought out on state occasions, and perhaps even when international dignitaries--like the members of the UN Working Group for Business and Human Rights--appear, but otherwise are understood either as a passive resource (to be activated by other bureaucrats with mandates of far more importance to the political leadership) or as necessary window dressing to satisfy the needs of inbound corporate investors, the international financial community, or others. [read post]
14 Jan 2022, 2:26 am by Nikolai de Koning
Consumers and investors must be able to trust that financial products and services that are promised to be sustainable are in fact sustainable. [read post]
19 Jan 2011, 11:53 am by James Hamilton
A financial institution is allowed to organize and offer a fund to its bona fide trust, fiduciary, and investment advisory customers. [read post]
14 Jan 2024, 6:30 pm by Etelka Bogardi (HK) and Conrad Lam
In addition to meeting the applicable requirements in the Overarching Principles Section and the Code on Unit Trusts and Mutual Funds (the UT Code) in the SFC Handbook for Unit Trusts and Mutual Funds, Investment-Linked Assurance Schemes and Unlisted Structured Investment Products, SFC-authorised VA Funds must also satisfy the following key requirements which are set out in the VA Funds Circular: Management company of an SFC-authorised VA Fund:  The management… [read post]
13 Jan 2017, 6:11 am
Posted by Frederick Alexander, B Lab, on Monday, January 9, 2017 Tags: Accountability, Benefit corporation, Corporate Social Responsibility, Disclosure, Environmental disclosure, ESG, Fiduciary duties, Long-Term value, Public interest, Shareholder primacy, Shareholder value, Short-termism, Sustainability Legal Institutions and IPO Puzzles Posted by Ruoying Chen, Peking University Law School, and Saul Levmore, University of Chicago, on Tuesday, January 10, 2017 Tags: Agency costs,… [read post]
2 Dec 2009, 5:42 pm by James Hamilton
According to Treasury, the lack of a federal regulatory regime and resolution authority for large systemic non-bank financial institutions contributed to the financial crisis and, unless addressed with legislation, will constrain a federal response to future crises. [read post]
28 Oct 2022, 6:32 am
Then-SEC Commissioner Roberta Karmel captured these issues in 1978: As greater numbers of Americans become owners of our large public corporations, whether individually or through institutional investors, and as corporations become subject to increasing government regulation, the dialogue between shareholders and their corporations becomes part of a larger political process. [read post]
20 Jun 2008, 9:50 pm
Despite pleas from these institutional investors, including TD Asset Management Inc., Canadian Imperial Bank of Commerce, and Manulife Financial Corp., in March Quebec Superior Court Justice Joel Silcoff approved the takeover, which was structured as a plan of arrangement. [read post]
31 Oct 2019, 3:59 am by Florence Campbell Jones
SECURITY AND TRUSTS / AGENCY Swiss law does not recognise the concept of a trust. [read post]
1 Jan 2023, 9:03 pm by Christopher Hodges
Defeating global financial crises involves using common or public funds and taxes to support banks, companies, and families. [read post]
26 Sep 2008, 11:54 am
  The FDIC was brought into existence during the Great Depression in 1933 in a climate similar to the one we now face.[3]  During the 1920s and 1930s, thousands of banks failed, leaving many depositors without recourse.[4]  The FDIC was created to restore consumer confidence in the banking system, and since its inception it has not lost a single penny of insured deposits.[5]  The FDIC is responsible for directly examining and supervising about 5,… [read post]
6 Jul 2022, 1:00 am by Harbir Deol
Generally, foreign parties lending to Swiss companies do not require a banking licence. [read post]
4 Apr 2022, 9:01 pm by Gary Gensler
If a company builds a crypto market that protects investors and meets the gold standard of our market regulations, then customers will be more likely to trust and have greater confidence in that market. [read post]
2 Aug 2021, 2:08 pm by Silver Law Group
Signs Of Elder Financial Fraud If you are a family member of an investor, watch for signs such as: New brokerage accounts with a previously unknown co-signer Sudden changes of brokerage companies Changes in investment styles Stockbroker control of a customer’s account A newly created power of attorney for a brokerage or bank account Unexpected changes in estate planning: wills, trusts, powers of attorney When an elderly person develops a new, close… [read post]
26 May 2015, 2:50 pm by nedaj
” “Regulated” qualified investors are entities that are already regulated by FINMA, such as banks, securities dealers, fund managers, and insurance companies. [read post]
26 May 2015, 2:50 pm by nedaj
” “Regulated” qualified investors are entities that are already regulated by FINMA, such as banks, securities dealers, fund managers, and insurance companies. [read post]
1 Sep 2016, 7:56 am by Green, Schafle & Gibbs
The findings stated that Espinoza incorporated a company that he operated and obtained investors who collectively invested more than $325,000 with the company. [read post]
3 Apr 2012, 11:00 am by Lucas A. Ferrara, Esq.
The City's shareowner resolution, which was co-filed by four major institutional investors, will be voted on at the company's annual meeting in Lake County, IL on April 27. [read post]