Search for: "Control Equity Group, Inc." Results 441 - 460 of 704
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31 Jan 2014, 12:01 pm by Don Cruse
If you advise amicus groups, this is an interesting study of the power, and limits, of having outside groups weigh in on rehearing. [read post]
26 Dec 2013, 1:27 pm
[Page 1:] The plaintiffs, Great Hill Equity Partners IV, LP, Great Hill Investors LLC, Fremont Holdco, Inc., and Bluesnap, Inc. [read post]
9 Dec 2013, 7:16 am
The appeal court ruled while a firm’s management may exercise aspects of control over the partners, similar to a corporation, “that does not change the relationship from one of partners running a business to one of employment by one group of partners over an individual partner. [read post]
5 Dec 2013, 8:10 am by Rebecca Tushnet
Florida Entertainment Opinion Management, Inc., No. 12-16868 (9th Cir. [read post]
4 Dec 2013, 11:04 am by Rebecca Tushnet
Sullivan, Staff Attorney, Division of Advertising Practices, FTC Panelists: Adam Ostrow, Chief Strategy Officer, Mashable, Inc.: think of ourselves as most social media publisher; more than 1/3 of traffic comes from Pinterest, Twitter, etc. and average sharing of item is 2500. [read post]
11 Nov 2013, 3:39 am by Peter Mahler
Blankfein: Demand Not Excused The next case involving derivative claims and demand futility stems from investment bank Goldman Sachs Group, Inc. [read post]
28 Oct 2013, 6:00 am by LTA-Editor
But this legislation was tested when a group of artists and their heirs sued Sotheby’s, Christie’s, and eBay for failure to comply with the Royalty Act. [read post]
17 Oct 2013, 6:39 pm by Geoff Cockrell
In addition to strategic buyers, the urgent care market has been of particular interest to financial buyers, namely, private equity firms. [read post]
1 Oct 2013, 10:55 am by Greg Mersol
 The Supreme Court emphasized that requirement only two years ago in Wal-Mart Stores, Inc. v. [read post]
1 Oct 2013, 5:44 am by Jay Baris
REGULATION FD Beginning in 1999 and continuing into 2000, media reports about selective disclosure of material nonpublic information by issuers raised concerns that select market professionals who were privy to this information profited at the expense of others. [read post]
Rose, partner and head of the Private Equity Transactions practice group at Ropes & Gray LLP, and is based on a Ropes & Gray publication. [read post]
21 Aug 2013, 4:33 am by Kevin LaCroix
The union argued that the funds acted as a part of controlled group and therefore were jointly and severally liable for the pension liability. [read post]
13 Aug 2013, 9:30 am by Devlin Hartline
The lawyers got their fee increase, but the FTC filed a complaint against them alleging that their group boycott was in violation of the antitrust laws. [read post]
12 Aug 2013, 9:41 am
("MSC II"), along with several of its affiliates (collectively, the "Debtors") was controlled by Barden Development, Inc. [read post]
12 Aug 2013, 8:41 am by Sheppard Mullin
("MSC II"), along with several of its affiliates (collectively, the "Debtors") was controlled by Barden Development, Inc. [read post]