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” Vertical Integration Restrictions The stated purpose of the 1975 vertical integration restriction was “to preserve free and private enterprise, prevent monopoly, and protect consumers. [read post]
13 Dec 2023, 2:58 am by Jon L. Gelman
Defendant STG Drayage, LLC, now operates the 238 Wilson Avenue facility. [read post]
14 Dec 2020, 11:09 am by Sheila R. Carroll
NessPlease follow us on Twitter @CosLawGroup, on LinkedIn at Cosgrove Law Group, LLC, and on Facebook at Cosgrove Law Group, LLC. [read post]
29 Oct 2018, 4:17 pm by Eugene Volokh
The plaintiffs in those suits allege that nearby hog farms associated with Murphy-Brown, LLC are a private nuisance. [read post]
1 Oct 2024, 9:55 pm by Saloni Khanderia
  Brief facts: The fulcrum of the dispute concerned an Authorized Distributorship Agreement (ADA) between Honasa Consumer Limited (petitioners) and RSM General Trading LLC (respondents). [read post]
22 Feb 2023, 1:07 pm by Dennis Crouch
  Disclosure is limited even for the two well-known, publicly traded litigation fund managers, Burford Capital and Omni Bridgeway; it is sparser still—and highly self-selective—for all the private funds involved. [read post]
24 Apr 2012, 9:01 am by Irene C. Olszewski, Esq.
Olszewski, LLC on Facebook for all posts from both of my blogs as well as additional stories and links. [read post]
21 Mar 2011, 7:00 am by J. Benjamin Stevens
About The Author: Christopher Halscheid is the owner of Magnum Investigations, LLC. [read post]
2 May 2012, 2:05 pm by Doug Cornelius
Wattenbarger, Partner, Ropes & Gray There has been a dramatic increase in the SEC’s understanding of private equity and private fund managers. [read post]
20 Jun 2011, 9:28 am by Robert Thomas (inversecondemnation.com)
It looks like we might have more grist for the mill, because today, the Court agreed to review the Montana Supreme Court's ruling in PPL Montana, LLC v. [read post]
22 Feb 2007, 5:20 am
Neither the proposing release nor the adopting release nor a comment letter written by the NYSE LLC contained any explanation of this change in attitude about investors. [read post]
11 Jun 2012, 11:04 am by Nissenbaum Law Group
The exemptions are not available to public companies in the United States, to foreign private issuers or to private investment companies (hedge funds, etc.). [read post]
24 Apr 2019, 7:30 am by Matthew Moriarty
It said, “the allegations involve a private dispute between private parties that is not for our consideration as part of our bid protest function. [read post]
10 Mar 2010, 2:56 pm by BLOG
The District Court and the Ninth Circuit found that Officer Quon was entitled to rely on his superior’s assurances that his text messages would remain private on the conditions stated.The implications of this decision are profound, for both public and private employers. [read post]
29 Oct 2014, 10:11 am by Jay B. Gould
  The SEC’s Enforcement Division alleges that Sands Brothers Asset Management LLC has been repeatedly late in providing investors with audited financial statements of its private funds, and the firm’s co-founders along with its chief compliance officer and chief operating officer were responsible for the firm’s failures to comply with the custody rule. [read post]