Search for: "G G G Investing Group" Results 41 - 60 of 1,298
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9 Dec 2009, 9:42 am
Sauter (Managing Director & Chief Investment Officer of Vanguard Group): Wall Street is widely blamed for causing the current economic... [read post]
25 Dec 2023, 10:04 am by Jacob Katz Cogan
Croatia Saga Ahan Gadkari, Status of Contracts with Rebel Groups during a Civil War Essay Competition Daniel Pap, Dispelling Myths – The European Court of Human Rights as a Viable Alternative to Investor-State Dispute Settlement in the European Union (Winner of the Essay Competition 2023) Gülnur Ceylan, Observations on Taxation-Based Claims in International Investment Arbitration: Does the Power to Tax Involve the Power to Extinguish? [read post]
9 Oct 2013, 9:16 pm
Blake, Thinking Ahead: Government Time Horizons and the Legalization of International Investment Agreements Marcus Holmes, The Force of Face-to-Face Diplomacy: Mirror Neurons and the Problem of Intentions Review EssayStephen G. [read post]
2 Jun 2015, 7:42 am by John Jascob
SIFMA also urged the MSRB to not treat investment funds advised by a municipal advisor as affiliates subject to proposed Rule G-42, and to have a clear end date defined in relation to the end of the municipal advisory relationship. [read post]
15 Apr 2019, 11:03 am by Renae Lloyd
According to a complaint filed on March 20, 2019, Massachusetts securities regulators have charged James G. [read post]
17 Nov 2009, 3:00 am
New group advertising option makes cost-per-lead available to PI firms. [read post]
25 May 2016, 7:15 am by Beth Graham
The transcript of an interesting discussion between Professor Alan Scott Rau, Mark G. and Judy G. [read post]
6 Jul 2016, 12:47 pm by D. Daxton White
The White Law Group is investigating the liability that US based brokerage firms may have for improperly over-concentrating investors in UK based investments like the M&G Property Portfolio Fund. [read post]
20 Sep 2009, 3:02 pm
Rule 13d-1(b) - provides that Schedule G can be filed, in lieu of filing Schedule D, within 45 days of the end of the calendar year in which the 5% threshold was exceeded if: (i) generally the person has not acquired the securities with any purpose, or with the effect of, changing or influencing the control of the issuer and (ii) the person is one of a number of enumerated persons (i.e. broker-dealers, registered investment advisors, investment companies, etc). [read post]
12 Mar 2009, 12:12 am
Australia is part of the Group of Twenty (G-20) which will implement international financial regulatory reforms.In the United States and the United Kingdom, the governments have effectively nationalised banks to help rebuild confidence in their banking systems and revive bank lending. [read post]
5 Jan 2018, 7:29 am by Blum Law Group
Andrew Montgomery Costa (CRD# 4847063) is being investigated by the Blum Law Group for, among other things, recommending to investors the purchase of Woodbridge FPCMs (First Position Commercial Mortgages) and other investments. [read post]
29 Jun 2015, 4:44 pm by D. Daxton White
The White Law Group is investigating the liability that brokerage firms may have for recommending these risky bonds. [read post]
30 Sep 2020, 5:28 pm
Güneş Ünüvar (Univ. of Copenhagen - iCourts), Joanna Lam (Univ. of Copenhagen - iCourts), & Shai Dothan (Univ. of Copenhagen - iCourts) have published Permanent Investment Courts: The European Experiment (Springer 2020). [read post]
20 Apr 2020, 10:36 am by Anna Gelpern
The fact that a big financial industry group worked closely with the G-20 and is on board with the outcome is also a good sign. [read post]