Search for: "Capital One F S B" Results 61 - 80 of 1,336
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21 Dec 2022, 3:36 am by Liz Dunshee
Here’s more detail: – Rules 5605(f)(7)(A) and 5605(f)(3) – requirement for companies on The Nasdaq Global Select Market, The Nasdaq Global Market, and The Nasdaq Capital Market to have at least one “Diverse” director (or explain why you don’t) – moved from August 7, 2023 to December 31, 2023 (which is the deadline under the current rule for a company with a December 31st fiscal year-end to hold its annual… [read post]
15 Jan 2007, 5:16 am
Subpart F Income: CFC for Full Year [Reg. 1.951-1(b)(2), Ex. 1] 22. [read post]
24 Jan 2013, 10:40 am
In addition, the following additional types of offerings are exempt from the requirements of Rule 5123: offerings of exempted securities, as defined in Section 3(a)(12) of the Exchange Act; offerings made pursuant to Securities Act Rule 144A or SEC Regulation S; offerings of exempt securities with short term maturities under Section 3(a)(3) of the Securities Act and debt securities sold by members pursuant to Section 4(2) of the Securities Act so long as the maturity does not exceed… [read post]
16 Oct 2023, 11:00 pm by Sherica Celine
It includes useful content on topics including tenant's rights, fair housing and lending, discrimination, immigration, and general non-profit resources. [read post]
24 Jan 2017, 8:05 am by Daniel Shaviro
This, so far, is the proposal that David F. [read post]
18 Apr 2012, 7:20 pm by David Smyth
Second, the SEC’s matter has the usual securities fraud charges under Section 10(b) of the Exchange Act and Section 17(a) of the Securities Act. [read post]
9 Sep 2012, 10:00 pm by Peter Mahler
Comm’r, 800 F.2d 625 (6th Cir. 1986), a tax case involving a taxpayer’s disputed treatment of advances as losses, including the presence or absence of traditional characteristics of loans (e.g. [read post]
28 Sep 2012, 10:10 am
Badger and Daubenspeck began their efforts to raise capital for Company A in December of 2008. [read post]
26 Mar 2015, 4:33 pm
  A resolution adopted at the Council's latest meeting last week took note of the “consistent, visionary leadership” of Chief Operating Officer Bishop Stacy F. [read post]
29 Jun 2016, 6:33 am
It consisted of one branch with space for two tellers, had approximately $1 million in capital, and was insured by the Federal Deposit Insurance Corporation (FDIC) for up to $100,000 per depositor. [read post]
16 Aug 2012, 1:27 am by Kevin LaCroix
The action was filed on behalf of two groups of claimants: those who bought Restricted Depositary Shares (RDS) in the company’s July 2007 RDS offering; and those who purchased Class B shares on the Euronext exchange between the offering and the companies March 2008 demise. [read post]
19 Aug 2011, 9:03 am by Robert_Brazil
The first is that a Benefit Corporation’s (also known as a “B Corp. [read post]