Search for: "AGENCY, LLC" Results 5861 - 5880 of 8,952
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18 May 2014, 2:54 am by SHG
      Copyright © 2013 Simple Justice NY, LLC This feed is for personal, non-commercial and Newstex use only. [read post]
17 May 2014, 4:09 am by SHG
Copyright © 2013 Simple Justice NY, LLC This feed is for personal, non-commercial and Newstex use only. [read post]
14 May 2014, 1:50 pm
Under the Illinois statute, it is “unlawful for a law enforcement agency or an agent acting on behalf of the lawenforcement agency to intentionally fail to comply with the provisions of subsection (a) of Section 116. [read post]
14 May 2014, 8:38 am by WIMS
" <> Coal River Energy, LLC v. [read post]
14 May 2014, 8:23 am by Allison Tussey
Capital, LLC, to sell the Marshall Reed Apartments to another company that he owned, Titan, LLC, for $9,780,000. [read post]
9 May 2014, 8:54 am by John Elwood
City of Roswell, 13-975, and M&G Polymers USA, LLC v. [read post]
8 May 2014, 10:37 pm by Lisa Milam-Perez
” Andy Schwarz, a partner at OSKR, LLC, and economist who specializes in antitrust economics, approached the issue from a different angle. [read post]
7 May 2014, 2:23 pm by David Gabor
  A recently filed in New York federal court lawsuit between Kind, LLC (the maker of the Kind Energy Bar) and Clif Bar & Co. [read post]
7 May 2014, 11:45 am
Embattled Massachusetts Telecommunications and Marketing Firm Tapped Immigrants By some accounts, the history of TelexFree, LLC is a bit of a Cinderella story gone awry. [read post]
7 May 2014, 6:45 am by Maureen Johnston
§ 1605(a)(2), the express definition of “agency” in the FSIA, the factors set forth in First National City Bank v. [read post]
6 May 2014, 4:26 pm by BakerHostetler
Early this year, FINRA announced that it had begun conducting targeted examinations (sweeps) to assess how broker-dealers are managing cybersecurity threats.[4] FINRA’s sweeps letter requested information on over a dozen cybersecurity issues, and asked firms to complete an “impact analysis” regarding the likelihood and potential impact of various kinds of cyber attacks on the firm’s critical systems.[5] On March 26, 2014, the SEC convened a cybersecurity roundtable, at which… [read post]
6 May 2014, 3:02 pm by D. Daxton White
FINRA is the self-regulatory agency that oversees broker-dealer’s compliance to securities laws and industry regulations. [read post]
6 May 2014, 8:43 am by Ed. Microjuris.com Puerto Rico
Bauer-Álvarez is a member in the O’Neill & Borges LLC Litigation Department. [read post]
6 May 2014, 7:29 am by Joy Waltemath
In Labor Ready, the Fourth Circuit invalidated an employment agency’s policy of barring union solicitation by incumbent temporary workers — rejecting the agency’s argument that its relationship with a temp worker is dissolved each evening and not renewed until the worker is given another assignment. [read post]
5 May 2014, 6:29 am
Regulatory agencies are inundated by the number of complaints from investors or the dirty laundry that their investigations turn up. [read post]