Search for: "The David Agency Insurance, Inc." Results 41 - 60 of 336
Sorted by Relevance | Sort by Date
RSS Subscribe: 20 results | 100 results
14 Jul 2010, 8:37 am by Page Perry LLC
“It’s sort of a pump-and-dump scheme in a bear market,” David Hendler, an analyst at fixed-income research firm CreditSights Inc. in New York, was quoted as saying. [read post]
28 Oct 2016, 1:00 am
Krimminger, Cleary Gottlieb Steen & Hamilton LLP, on Saturday, October 22, 2016 Tags: Banks, Deposit insurance, Exchange Act, FDIC, Financial institutions, Financial regulation, Financial technology,Innovation, OCC, Securities regulation, State law Are Friday Announcements Special? [read post]
10 Oct 2008, 10:24 pm
Fish and Wildlife Service Letter to Shareholders From AIG Chairman and CEO Edward Liddy (PDF 156 KB) Letter Regarding the Sale of Stock to the Federal Reserve Bank Remarks Delivered by World Bank Group President Robert Zoellick Remarks as Prepared for Delivery at the Opening of the Annual Meetings on Oct. 9, 2008 Letter to Secretary of the Treasury Henry Paulson From AIG Chairman and Chief Executive Officer Edward Liddy (PDF 48 KB) Letter Seeks to Explain a Trip Made to a Resort by Several… [read post]
2 Feb 2017, 6:04 pm by Cynthia Marcotte Stamer
  OCR originally notified Children’s of its intention to impose the CMP based on findings of widespread violations by Children’s of HIPAA in a September 30, 2016 Notice of Proposed Determination (Proposed Determination) that OCR sent to Children’s President of System Clinical Operations, David Berry. [read post]
23 Oct 2013, 11:48 am by Cynthia L. Hackerott
The Fourth Circuit applied this nexus test in Liberty Mutual Insurance Co, where it held that the OFCCP could not apply EO 11246 regulatory requirements to a federal subcontractor that sold workers’ compensation insurance to federal contractors because such application was outside the scope of any grant of legislative authority. [read post]
15 Dec 2014, 8:07 am by Allison Tussey
The Indictment filed in the Western District of Arkansas alleged that Standridge, who was president of Steve Standridge Insurance, Inc. [read post]
9 Jul 2018, 12:43 pm by Silver Law Group
According to FINRA Disciplinary actions for June 2018, the following individuals were barred from FINRA and cannot currently work for a FINRA brokerage firm for failing to provide FINRA with information it requested or to keep information current with FINRA pursuant to FINRA rules: NAME FORMER EMPLOYERS   Donald Nelson Bower III   Edward Jones   Invest Financial Corp   Christopher Masharn Bruce   Statefarm VP Management Corp   Chris Bruce Insurance… [read post]
3 Jun 2015, 8:18 am by Allison Tussey
(“Metlife”), a wholly-owned subsidiary of Metlife, Inc., which thereafter originated FHA-insured mortgages under the Metlife name. [read post]
30 Aug 2016, 11:56 am by Wage & Hour Blogger
Next Steps If your agency provides cash payments to employees who opt-out of a health insurance plan, your agency should carefully evaluate the impact of Flores on payroll practices and FLSA liability. [read post]
21 Jun 2013, 3:30 am
Poklemba Served as General Counsel to American Transit Insurance Company, a New York City-based Commercial Automobile Insurer. [read post]