Search for: "WELLS FARGO ADVISORS, LLC" Results 461 - 480 of 481
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20 Mar 2014, 9:54 am by D. Daxton White
Stuart, Sr., Deceased Wells Fargo Advisors, LLC Respondent is liable for and shall pay to Claimants $131,127.27 in compensatory damages; Respondent is liable for and shall pay to Claimants attorneys’ fees and costs in the amount of $175,000.00 pursuant to contract and Texas statute. [read post]
20 Jul 2014, 5:26 am by SHG
Did they have legal advisors, board members, anyone remotely knowledgeable involved? [read post]
1 Jun 2020, 9:14 am by Silver Law Group
Stow was previously registered with Wells Fargo Advisors, LLC (CRD# 19616) and Suntrust Investment Services (CRD# 17499). [read post]
9 May 2023, 11:55 am by Zamansky LLC
And a lot of you know, brokers and advisors pitched, these high yield bonds, in some cases, their junk bonds, very risky, you know, low credit quality. [read post]
8 Feb 2019, 6:04 am
Göx (University of Zurich), on Tuesday, February 5, 2019 Tags: Agency costs, Boards of Directors, Executive Compensation, Incentives, Information environment, Management, Market reaction, Moral hazard, Pay for performance, Say on pay, Shareholder value, Shareholder voting Missing Pieces Report: The 2018 Board Diversity Census of Women and Minorities on Fortune 500 Boards Posted by Deb DeHaas, Linda Akutagawa, and Skip Spriggs,… [read post]
9 Feb 2018, 5:06 am
Niles, Wachtell, Lipton, Rosen & Katz, on Monday, February 5, 2018 Tags: Banks, Board monitoring, Boards of Directors, Compliance & ethics, Federal Reserve, Financial institutions, Financial regulation, Management, Misconduct, Oversight, Risk, Risk management, Wells Fargo Dinner Table Human Capital and Entrepreneurship Posted by Hans K. [read post]
20 Oct 2020, 5:17 am by Alan Rosca
Fernan was previously registered with Wells Fargo Advisors, LLC from June 2011 until September 2011. [read post]
13 Sep 2019, 5:49 am
Garrett (Duke University School of Law), on Thursday, September 12, 2019 Tags: Board oversight, Boards of Directors, Compliance & ethics, Compliance and disclosure interpretation, Compliance officer, Corporate crime, Misconduct, Oversight, Securities enforcement, Wells Fargo Stakeholder Governance and the Freedom of Directors to Embrace Long-Term Value Creation Posted by Richard S. [read post]
20 Oct 2020, 5:17 am by Alan Rosca
Fernan was previously registered with Wells Fargo Advisors, LLC from June 2011 until September 2011. [read post]
12 Aug 2008, 2:00 pm
Insurance 3 Ben Silver Fuel Outdoor Acquisitions 3 Alex Yaroslavsky Yaro Group, LLC Mediator 3 David Cassese Apex Appraisal Group Appraisal - Residential 2 Paul Wong Concept Realty NY Commercial Broker 1 Sherri Fried RED STONE TITLE & ABSTRACT, LLC Title Insurance 3 AARON KAGAN STUYVESANT HEIGHTS PROPERTIES LLC INVESTOR/OWNER 2 Franklin Burrowes OODA & Co, Inc Investor / Owner 3 Ronald Gold Gold Appraisal … [read post]
22 Nov 2019, 5:51 am
Brownstein, Wachtell, Lipton, Rosen & Katz, on Wednesday, November 20, 2019 Tags: Boards of Directors, Compliance and disclosure interpretation, Disclosure, ESG, Institutional Investors, Proxy advisors, Risk, Risk management, Risk oversight, Shareholder voting, Sustainability, Wells Fargo Letter by SEC Commissioner Robert J. [read post]
25 Apr 2024, 12:48 pm by Kevin LaCroix
These consequences, and the resulting lessons, are, as the authors put it “epitomized by the well-known mismanagement of events at Wells Fargo, Boeing, and others. [read post]
21 Jul 2017, 6:04 am
Mendelsohn, Paul, Weiss, Rifkind, Wharton & Garrison LLP, on Saturday, July 15, 2017 Tags: Anti-corruption, Disgorgement, DOJ, FCPA, Misconduct, SEC, SEC enforcement, Securities enforcement, Supreme Court Balancing the Governance of Financial Institutions Posted by David Min, University of California, Irvine, on Sunday, July 16, 2017 Tags: Agency costs, Banks, Dodd-Frank Act, Failed banks, Fiduciary… [read post]
25 Aug 2017, 6:04 am
Miller, Ethics Metrics LLC, on Saturday, August 19, 2017 Tags: Banks, Capital requirements, Deposit insurance, Disclosure, Dodd-Frank Act, FDIC, Financial institutions, Financial regulation, Financial reporting, FSOC, Information asymmetries, Information environment, Investor protection, SEC, Stress tests, Systemic risk, Transparency Sales Practices: Third-Party Risk Management Matters Too Posted… [read post]
1 Oct 2012, 3:00 am by nedaj
Event: Know Yourself and Your Decision-Making Process: A Conversation with Nobel Laureate Daniel Kahneman Location: New York, NY October 16 Sponsor: Investment Adviser Association Event: 2012 Compliance Workshop Location: Boston, MA October 16 Sponsor: NC Department of Secretary of State Event: Investment Adviser Workshop Location: Charlotte, NC October 17 Sponsor: Hedge Funds Care & ParkRiver Fund Solutions Event: Cocktails & Commentary – Navigating Institutional Investor Due… [read post]
8 Nov 2023, 10:14 pm by D. Daxton White
The regulator sanctioned Citigroup Global Markets, Inc; Morgan Stanley & Co., LLC; UBS Financial Services; and Wells Fargo Advisors, LLC a total of more than $9.1 million for selling leveraged and inverse exchange-traded funds (ETFs) without reasonable supervision and for not having a reasonable basis for recommending the securities. [read post]
31 Mar 2017, 6:03 am
Posted by Ira Kay, Pay Governance LLC, on Monday, March 27, 2017 Tags: Boards of Directors, Dodd-Frank Act, Executive Compensation, Incentives, Institutional Investors, Management, Say on pay, Securities regulation, Shareholder voting The Americas – 2017 Proxy Season Preview Posted by Sean Quinn, Institutional Shareholder Services Inc., on Monday, March 27, 2017 Tags: Boards of Directors, Canada, Executive Compensation, International governance, Proxy access, Proxy season,… [read post]
18 Apr 2008, 2:00 am
Here is IP Think Tank’s weekly selection of top intellectual property news breaking in the blogosphere and internet. [read post]