Search for: "Capital Bank" Results 4481 - 4500 of 15,530
Sorted by Relevance | Sort by Date
RSS Subscribe: 20 results | 100 results
11 Oct 2017, 2:31 am by Simon Lovegrove and Jack Prettejohn
In addition, the EBA is starting work on guidelines to strengthen banks’ NPL management, building on the work done by the European Central Bank; the EBA notes that in order to support the necessary changes in banks’ liability structures and enhance their resolvability, it is important that the proposed revisions to the Bank Recovery and Resolution Directive are finalised and that resolution authorities provide clear indications on individual minimum… [read post]
29 Aug 2010, 7:34 pm by Kevin Funnell
As the investigation by Bank Safety & Soundness Advisor revealed, the time frames given to find new capital are short and failure to raise the capital within that time frame requires the bank to sell, merge or liquidate within an equally ridiculously short time-frame, which usually results in the bank being sold. [read post]
2 Dec 2009, 9:49 pm by Kevin LaCroix
  The trustee’s damages action alleges that the individual defendants harmed the now-bankrupt holding company and imperiled the capital that the holding company raised for and provided to the bank, by negligently managing the bank’s operations. [read post]
31 May 2009, 2:13 pm
From a Bloomberg report:"GM going through bankruptcy is a very positive thing for the auto industry: They should emerge as a reasonable competitor," said Len Blum, managing director at investment- banking firm Westwood Capital LLC in New York. [read post]
16 May 2018, 5:20 am by Daniel Leslie
OSFI is now taking a hard look at this limit and is doing so in the context of its expectations on a bank’s overall management of asset encumbrance. [read post]
7 Aug 2018, 9:07 am by John Jascob
In one instance, the House of Representatives passed a package of securities and banking bills that will make it easier for smaller companies to raise capital funds. [read post]
4 Oct 2024, 1:12 pm by vbunici
PHILADELPHIA, PA October 4, 2024 – Rosca Scarlato, LLC informs investors that it has filed a securities class action in the United States District Court for the District of New Jersey against Cross River Bank (“CRB”), Bank Partner to Sunlight Financial Holdings, Inc. f/k/a Spartan Acquisition Corp. [read post]
4 Oct 2024, 1:12 pm by vbunici
PHILADELPHIA, PA October 4, 2024 – Rosca Scarlato, LLC informs investors that it has filed a securities class action in the United States District Court for the District of New Jersey against Cross River Bank (“CRB”), Bank Partner to Sunlight Financial Holdings, Inc. f/k/a Spartan Acquisition Corp. [read post]
4 Oct 2024, 1:12 pm by vbunici
PHILADELPHIA, PA October 4, 2024 – Rosca Scarlato, LLC informs investors that it has filed a securities class action in the United States District Court for the District of New Jersey against Cross River Bank (“CRB”), Bank Partner to Sunlight Financial Holdings, Inc. f/k/a Spartan Acquisition Corp. [read post]
11 Feb 2008, 11:20 pm
Capital Markets With "more than half of all U.S. households," previously assessed at $57 million, participating in equity markets through "investments either directly in securities or indirectly in mutual funds" the need to maintain investor confidence is paramount. [1] Ways of maintaining investor confidence include enforcing strict compliance with established auditing, disclosure, and financial reporting requirements. [2] Furthermore, allowing adequate… [read post]
5 Aug 2012, 3:03 am by rhapsodyinbooks
Mayer Amschel Rothschild, born in 1744, started the famous banking house that, seven generations later, remains a major international player in venture capital and financial engineering. [read post]
13 Jun 2019, 9:11 am by Renae Lloyd
Stanger & Company, an investment banking firm that publishes The Stanger Report,  non-traded REIT sales soared to $869 million in May 2019. [read post]
15 Oct 2008, 1:59 am
Both banks and bank holding companies have complex capital adequacy requirements. [read post]
19 Feb 2013, 12:21 pm by David M. McLain
  The Court further held that a construction business does not hold all funds in trust, even where the company is generally in the construction business, has only a single project, and has only a single bank account for that project. [read post]
20 Sep 2010, 6:00 am by Keith Paul Bishop
Supreme Court has scheduled oral arguments in Janus Capital Group, Inc.v. [read post]
30 Oct 2015, 12:12 am by Sean Hayes
   Korea’s capital markets have been, strongly, criticized for not providing adequate funding sources for small companies. [read post]
13 Aug 2014, 7:28 pm by Sabrina I. Pacifici
“In a speech in New York, Federal Reserve Bank of Boston President Eric Rosengren called for a comprehensive re-evaluation of the regulation of broker-dealers (intermediaries that effect transactions in securities), given the lessons of the financial crisis. [read post]
On 4 June 2020, the European Banking Authority (EBA) outlined its roadmap for the implementation of the new regulatory framework for investment firms and launched a public consultation on its first set of regulatory deliverables on prudential, reporting, disclosures and remuneration requirements. [read post]
3 Dec 2018, 11:27 am by ccollins
Several other institutional investor plaintiffs, including a number of FrontPoint funds and Sonterra Capital Master Fund Ltd., were found to lack the required standing to sue the banks due to the fact that they are now dissolved. [read post]