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7 Jun 2011, 1:01 am by Kevin LaCroix
In a decision that largely turned on detailed confidential witness statements, on June 7, 2011, Northern District of Alabama Judge Inge Prytz Johnson denied the motions to dismiss in the Regions Financial Corporation subprime-related securities lawsuit. [read post]
1 Jun 2011, 4:54 pm
Shareholders trust that the board will make decisions that are in the best interests of the business, but when directors fail to do so, shareholders can bring a derivative lawsuit on behalf of the company itself. [read post]
  The SEC had previously filed an emergency civil action in the United States District Court for the Northern District of Illinois to halt an ongoing fraud on investors conducted by Moskop and his company. [read post]
26 May 2011, 7:09 am by Lawrence B. Ebert
The Northern District of California had found U.S. [read post]
25 May 2011, 11:52 am by admin
– despite mounting political resistance in Germany and other frugal northern European countries to bailouts of other euro-zone members. [read post]
16 May 2011, 1:13 pm by Blog Editorial
Section 83(3)(a) made provision for ascertaining whether or to what extent a company has incurred a loss in respect of that business where an amount is added to an insurance company’s long term business fund as part of or in connection with a transfer of business to that company and that amount shall be taken into account as an increase in value of the assets of the fund within section 83(2)(b). [read post]
10 May 2011, 5:09 pm
  This is to provide funding to assist Australian industry to sell goods and services to those companies in the resources industry. [read post]
10 May 2011, 10:25 am by Tomassi Law Associates
Bankruptcy Court, Northern District California (San Francisco). [read post]
9 May 2011, 2:03 am by Blog Editorial
R v Waya, heard 5 May 2011 The following Privy Council judgments are awaited: Romeo Cannonier & Ors v The Queen (St Christopher & Nevis) and Romeo Cannonier v The Queen (St Christopher & Nevis), heard 13 May 2010 The Public Service Appeal Board v Omar Maraj (Trinidad & Tobago), heard 5 October 2010 Tasarruf Mevduati Sigorta Fonu v Merrill Lynch Bank and Trust Company (Cayman) Limited & Others, heard 31 January – 1 February 2011 Maxo Tido v The Queen… [read post]
6 May 2011, 3:46 pm by Jon L. Gelman
”  Roosevelt began his trust busting by instructing his Attorney General, Philander Chase Knox (described by Roosevelt as “The best attorney general this government has ever had”), to file a lawsuit against the Northern Security Company for violating the Sherman Anti-Trust Law in creating a railroad monopoly in the Northwest that was, according to Knox, “infinite in scope, perpetual in character. [read post]
30 Apr 2011, 8:25 am by INFORRM
  He ended the opinion by saying, “We trust that AT&T will not take it personally. [read post]
13 Apr 2011, 10:41 pm by Mike
In Carpenters Pension Trust Fund for Northern California v. [read post]
13 Apr 2011, 4:37 am by Broc Romanek
Northern Trust ISS claims Northern Trust has a pay-for-performance disconnect. [read post]
12 Apr 2011, 5:32 am by Administrator
Kraft Foods Global, No. 10-1469 (April 11, 2011),  current and former participants in the Kraft Goods 401(k) plan filed a class action lawsuit in 2006 against 7 fiduciaries responsible for administering Kraft Foods’ 401(k) plan, including Hewitt, who was the recordkeeper,  and State Street Bank & Trust Company, who was the plan’s trustee. [read post]
10 Apr 2011, 4:36 pm by Blog Editorial
The following Privy Council judgments are awaited: Romeo Cannonier & Ors v The Queen (St Christopher & Nevis) and Romeo Cannonier v The Queen (St Christopher & Nevis), heard 13 May 2010 The Public Service Appeal Board v Omar Maraj (Trinidad & Tobago), heard 5 October 2010 Tasarruf Mevduati Sigorta Fonu v Merrill Lynch Bank and Trust Company (Cayman) Limited & Others, heard 31 January – 1 February 2011 Maxo Tido v The Queen (Bahamas), heard 7 March 2011… [read post]
5 Apr 2011, 5:31 am by Ted Allen
In its lawsuit, KBR argued that Chevedden’s ownership letter from Ram Trust Services (RTS), a Maine-chartered non-depositary trust company, failed to satisfy the requirements of SEC Rule 14a-8(b)(2), which requires investors to provide a statement  from a “record” holder, which can be an “introducing broker” or a bank, according to the SEC staff. [read post]