Search for: "U.S. Compliance Corporation" Results 901 - 920 of 6,302
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18 May 2018, 6:01 am
Wagner (Bocconi University) , on Thursday, May 17, 2018 Tags: Corporate culture, Corporate Social Responsibility, ESG, Firm performance, Institutional Investors, International governance, Netherlands, Ownership, Public interest Failure to Disclose a Cybersecurity Breach Posted by Matthew C. [read post]
14 Nov 2012, 6:42 pm
Today, SEC Director of Enforcement Robert Khuzami and Assistant Attorney General Lanny Breuer released the "Resource Guide to the U.S. [read post]
26 Jul 2024, 7:33 am
For a taste, the abstract and Introduction follows below.Trust platforms: The digitalization of corporate governance and the transformation of trust in polycentric space Larry Catá Backer (白 轲) First published: 25 July 2024 https://doi.org/10.1111/rego.12614SectionsPDF Tools Share Abstract This contribution… [read post]
4 Apr 2012, 10:08 am by Kevin Lashus
Generally, businesses are required to make sure they are hiring only people who can legally work in the U.S. [read post]
4 Feb 2020, 7:04 am by Kevin LaCroix
  One such reason is the public’s demand for it given the diminished role of government, especially in the U.S. and the U.K., to find solutions to these problems. [read post]
11 Jun 2015, 5:00 am by Randi Morrison
– Nine different U.S. regulatory standards triggered incidents, including rules and regulations of the SEC (e.g., Reg. [read post]
3 Oct 2007, 6:26 am
On September 18, 2007, a broad coalition of large institutional investors, state officials and environmental groups filed a petition for interpretive guidance with the U.S. [read post]
27 Oct 2020, 8:41 am
Despite all the differences in the specific design, the Benefit Corporation acts of the 35 U.S. states and the District of Columbia have certain basic requirements in common: the legally prescribed corporate purpose includes social, ecological and stakeholder interests in addition to profit generation; the creation of public benefits and t [read post]
13 Jan 2012, 8:46 am by McNabb Associates, P.C.
Bloomberg Businessweek on January 13, 2012 released the following: “(Updates with SEC broker fiduciary rule and Hong Kong ‘professional investor’ in Compliance Policy, French stock-ADRs in Compliance Action, Alliance One in Courts, Keneally and Kerr in Interviews and Vaughan and Kim Hak Heon in Comings and Goings/Notable Passings.) [read post]
28 Jan 2019, 8:18 pm
A recent Delaware corporate law case suggests the way that corporate action grounded in social responsibility, risk management and compliance interacts with traditional management of legal risk--for all parties. [read post]