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22 Sep 2013, 9:46 pm by Megan Muir
“Disqualifying events” for covered persons include the following: convictions for securities-related crimes that have occurred within 10 years of the proposed sale of securities or 5 years if the relevant covered person is the issuer or its predecessors/affiliates securities-related injunctions and restraining orders and similar sanctions such as SEC stop orders and US Postal Service false representation orders, each if within the 5 years prior to the proposed sale final orders from… [read post]
30 Nov 2012, 8:30 am
" "When Banks are Left on the Hook for Cybertheft" reports Joe Palazzolo for The Wall Street Journal's Law Blog. [read post]
13 May 2013, 2:56 am by Peter Mahler
Faction #2 Tries to Regain Board Control After the Lawsuit is Filed In December 2012, Faction #1 filed a damages lawsuit asserting claims directly in BSG’s name as well as derivatively against Faction #2′s constituents for breach of fiduciary duty, breach of contract, and breach of the covenant of good faith and fair dealing. [read post]
18 Dec 2014, 9:17 am by Robert B. Milligan and Michael Wexler
Hart and Dawn Mertineit discussed the significant statutory changes to several jurisdictions’ laws regarding trade secrets and restrictive covenants and pending legislation proposed in additional jurisdictions over the past year. [read post]
15 Jul 2015, 10:20 am by Arina Shulga
Some steps a company should take include adding bad actor disqualification representations and covenants in their placement agency agreements or securities distribution agreements and asking all participants covered by Rule 506(d) to complete a bad actor questionnaire and/or certification (and bring-downs of the same if the offering is long-lived). [read post]
16 Dec 2016, 1:00 am
Reid, Davis Polk & Wardwell LLP, on Thursday, December 15, 2016 Tags: Banks, Brexit, Derivatives, EU, Europe, Financial institutions, Financial regulation, Foreign banks, International governance, Systemic risk, Third-country firms Forum-Selection Bylaws—Another Attack Rebuffed Posted by Eric M. [read post]
30 Jun 2017, 6:01 am
Sloan, Simpson, Thacher & Bartlett LLP, on Friday, June 23, 2017 Tags: Banks, Capital requirements, CFPB, CHOICE Act, Financial institutions, Financial regulation, Foreign banks, Liquidity, Mortgage lending, Securities regulation, Stress tests, Systemic risk, Treasury Department, Volcker Rule A Modest Proposal? [read post]
24 Aug 2009, 5:00 pm
Moreover, the proxy agreement itself carved out specific exceptions to the covenant against Merrill paying bonuses, says BoA's brief. [read post]
24 Jan 2018, 11:50 am by Porter Wright
Would those some covenants apply to a joint venture party’s affiliates? [read post]
24 Jan 2018, 11:50 am by Mark Koogler
Would those some covenants apply to a joint venture party’s affiliates? [read post]
20 Aug 2013, 9:49 pm by Anna Gelpern
In a nutshell, Grenada got hit by two hurricanes and restructured its debt--minus the four loans owed to Taiwan's Ex-Im Bank--circa 2005. [read post]
24 Jan 2018, 11:50 am by Mark Koogler
Would those some covenants apply to a joint venture party’s affiliates? [read post]
31 Jan 2011, 8:51 am by admin
In April, the mayor of Georgia’s capital city Tbilisi signed the European Union’s “Covenant of Mayors” initiative, making Tbilisi the first city in the Caucasus to join the covenant. [read post]
12 Sep 2012, 2:55 am by Al Saikali
The Dismissed Counts The Eleventh Circuit did, however, affirm the dismissal of Plaintiffs’ negligence per se and breach of covenant of good faith and fair dealing. [read post]
3 Jul 2020, 6:43 am by Florence Campbell Jones
BANKING LICENCE REQUIREMENTS A banking licence is generally required under the Banking Consolidated Act 1993 and the Financial Consolidated Act 1998 in order to carry out lending activities. [read post]
28 Jun 2021, 3:10 am by Peter Mahler
” Najjar sued West for breach of the implied covenant of good faith and fair dealing and for breach of fiduciary duty. [read post]
14 Apr 2020, 8:00 pm by Shannon O'Hare
The scheme is provided by the British Business Bank via participating lenders, a list of which can be found here. [read post]
8 Feb 2024, 10:18 am by Rebecca Tushnet
Royalty Fee”) on top, in violation of NY GBL §§ 349 and 350 (along with breach of the implied covenant of good faith and fair dealing and unjust enrichment). [read post]
16 Apr 2022, 8:06 am by Mark Weidemaier
” The Central Bank is a legally separate entity. [read post]
23 Sep 2014, 5:46 am by Brad Kaplan
He is Vice-Chair of the firm’s Global Hospitality Group and advises clients on hospitality transactions; representing lenders, opportunity funds, banks, special servicers, owners, REITs and developers in hotel transactions. [read post]