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7 Dec 2009, 7:08 am by Mark Tabakman
  In what is a troubling trend, an employee of Amazon.com Inc. has filed a FLSA collective action for unpaid overtime. [read post]
18 Oct 2016, 6:50 am by Adam Weinstein
The investment fraud lawyers of Gana LLP are investigating the employment termination filed with The Financial Industry Regulatory Authority (FINRA) by Royal Alliance Associates, Inc. [read post]
12 Jan 2021, 9:52 am by Robert Guite and Sascha Henry
Despite the COVID-19 pandemic, the number of putative class actions targeting the food and beverage industry increased in 2020 and show no signs of slowing down in 2021. [read post]
25 Mar 2016, 7:03 am by John Lewis and Dustin Dow
In FLSA actions, inferring the hours an employee has worked from a study such as [the industrial relations expert’s] has been permitted by the court so long as the study is otherwise admissible. [read post]
25 Jan 2022, 3:11 pm by Kevin LaCroix
  Two of the 2021 settlements were large enough to qualify for ISS SCAS’s list of the Top 100 securities class action lawsuit settlements of all time: Valeant Pharmaceuticals, Inc., $1.21 billion, which is the 9th largest of all time; and Snap, Inc. $187.5 million (inclusive of both federal and state settlements), which is the 97th largest settlement. [read post]
30 Aug 2015, 9:00 am by Jason M. Knott
The case of Stephen Stradtman, former CEO of Otto Industries North America, Inc., was not a normal case. [read post]
21 Jul 2014, 6:05 am
In a Financial Industry Regulatory Authority (“FINRA”) Arbitration Statement of Claim filed in May 2013, public customer Claimant Meadows asserted causes of action including breaches of fiduciary duty and contract, negligence, and fraud in connection with his three Individual Retirement Accounts (“IRAs”) maintained at Respondent Charles Schwab & Co., Inc. [read post]
4 Jun 2014, 5:49 am
As explained by the district court, "[i]n the Joint Claim Construction Statement ("Joint Statement," ECF No. 45) filed on May 9, 2014, Plaintiff MAG Aerospace Industries, Inc. [read post]
22 Dec 2009, 1:20 pm by Edward M. McNally
NACCO Industries Inc. v Applica Incorporated, C.A. 2541-VCL (December 22, 2009) In this major opinion, the Court of Chancery has established new remedies for the breach of a merger agreement. [read post]
6 Feb 2011, 10:52 am by Rebecca Shafer, J.D.
The Commission, which was formed by the Howard government to regulate the building industry, investigated unlawful industrial action at the site. [read post]
6 Feb 2011, 10:52 am by Rebecca Shafer, J.D.
The Commission, which was formed by the Howard government to regulate the building industry, investigated unlawful industrial action at the site. [read post]
19 Mar 2013, 7:49 am
Jones entered the securities industry in 1986 and during the relevant period from May 5, 2010, through October 6, 2011, he was registered with FINRA broker-dealer Capital Financial Services, Inc. (“CFS”). [read post]
4 Apr 2008, 5:20 am
President and Chief Executive Officer of Tougher Industries, Inc. [read post]
17 Nov 2015, 7:13 am by Adam Weinstein
In the most recent action, eleven claimants brought claims against Matrix Capital Group, Inc., John W. [read post]
1 Sep 2010, 7:01 am
Raymond James & Associates, Inc., and one of the brokerage's advisers must pay $925,000 in damages to a Texas couple that purchased auction rate securities in 2008, a securities industry regulatory panel has ruled. [read post]