Search for: "Standard Chartered Bank International, Inc." Results 61 - 80 of 102
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4 Aug 2017, 6:00 am
Balancing Board Experience and Expertise Posted by John Roe, Institutional Shareholder Services, Inc., on Friday, July 28, 2017 Tags: Board composition, Board performance, Boards of Directors, Director qualifications, Diversity, Institutional Investors Common-Sense Capitalism Posted by David A. [read post]
26 May 2017, 6:33 am
Berger, Wilson Sonsini Goodrich & Rosati, on Wednesday, May 24, 2017 Tags: Boards of Directors, Capital markets, Capital structure, Dual-class stock, International governance, IPOs, Private ordering, Securities regulation, Shareholder rights, Shareholder voting Federal Banks’ Permitted Concealment of Material Information and Systemic Risk Posted by Beckwith B. [read post]
3 Mar 2017, 6:16 am
Corporate Officers as Agents Posted by Deborah DeMott, Duke Law School, on Friday, February 24, 2017 Tags: Accountability, Agency costs, Boards of Directors, Business judgment rule, Charter & bylaws, Common-law claims, Disclosure, Duty of care, Duty of good faith, Duty of loyalty, Duty to inform, Fiduciary duties, Fiduciary rule, Liability standards, Management 2015 Short- and Long-Term Incentive Design Criteria Among Top 200 S&P 500 Companies Posted by James F. [read post]
18 Nov 2016, 1:00 am
Glosten, Columbia Business School, and Suresh Nallareddy, Duke University, on Monday, November 14, 2016 Tags: Asset management, Capital markets, Financial institutions, Firm performance, Information asymmetries, Information environment, Investment banking, Market efficiency, Stock analysts, Stock mispricing Bridging the GAAP/Non-GAAP Gap Posted by Judy McLevey, The Conference Board, on Monday, November 14, 2016 Tags: Accounting standards, Audit committee, Commonsense… [read post]
28 Oct 2016, 1:00 am
Distracted Shareholders and Corporate Actions Posted by Alberto Manconi, Bocconi University, on Friday, October 21, 2016 Tags: Accountability, Acquisitions, Agency costs, Behavioral finance, Information environment, Institutional Investors,Management, Mergers & acquisitions, Oversight CEO Succession Practices in the S&P 500: 2016 Edition Posted by Matteo Tonello, The Conference Board, Inc., on Friday, October 21, 2016 Tags: Board communication, Board independence, Boards of… [read post]
21 Oct 2016, 1:00 am
Langevoort, Georgetown University Law Center, on Thursday, October 20, 2016 Tags: Behavioral finance, Compliance & ethics, Disclosure, Diversity, Information environment, Insider trading, Investor protection, Market efficiency, Misconduct, Overconfidence, Securities regulation Voting Standards Are Not that Standard Posted by Daniel E. [read post]
15 Jul 2016, 6:22 am
Reid, Davis Polk & Wardwell LLP, on Tuesday, July 12, 2016 Tags: Banks, Brexit, Broker-dealers, ESMA, EU, Europe, Financial institutions, Financial regulation, Financial technology,International governance, Investment banking, Legal systems, MiFID, UK Earnings Warnings and CEO Welfare Posted by Ping Wang, Pace University, on Wednesday, July 13, 2016 Tags: Bonuses, Disclosure, Earnings announcements, Earnings disclosure, Executive Compensation, Executive… [read post]
3 Jul 2016, 4:09 pm by INFORRM
The Brussels Appeals Court has dismissed the  case, on the grounds that the Belgium regulator has no jurisdiction over Facebook Inc, which has its European headquarters in Ireland. [read post]
28 Jun 2016, 8:47 am by Lyle Denniston
Without a comment, the Court denied review of Stormans, Inc. v. [read post]
27 Jun 2016, 1:47 pm by John Elwood
(relisted after the June 16 and June 23 Conferences)   Bank of America Corp. v. [read post]
18 Apr 2016, 9:58 am by Dennis Crouch
Lexmark International, Inc., No. 15-1189 (unreasonable restraints on downstream uses) Obviousness: Cubist Pharmaceuticals, Inc. v. [read post]
22 Feb 2016, 4:36 pm by Kevin LaCroix
After attending the PLUS D&O Symposium  some years ago, several colleagues at Partner Re thought it might be worthwhile to provide D&O insurance professionals with historical overview of the evolution of Directors and Officers insurance (D&O) in the US marketplace. [read post]
25 Jun 2015, 5:12 pm by Kevin LaCroix
The bill also contains a prohibition of bylaws or charter provisions that designate a forum other than Delaware as the exclusive forum. [read post]
11 Nov 2014, 12:24 pm by Cynthia Marcotte Stamer
Imminent Danger The Guidance also states that Covered Entities that are health care providers may share patient information with anyone as necessary to prevent or lessen a serious and imminent threat to the health and safety of a person or the public – consistent with applicable law (such as state statutes, regulations, or case law) and the provider’s standards of ethical conduct. [read post]
15 Jan 2014, 12:11 am by Kevin LaCroix
 The banks that have been identified or made announcements regarding Forex regulatory investigations to date include: Barclays, Citigroup, Inc., Credit Suisse AG, Deutsche Bank, Goldman Sachs Group, HSBC, JP Morgan Chase & Co., Morgan Stanley, Royal Bank of Scotland, Standard Chartered and UBS. [read post]