Search for: "Hedges v. State" Results 1021 - 1040 of 1,158
Sorted by Relevance | Sort by Date
RSS Subscribe: 20 results | 100 results
6 Mar 2018, 11:17 am by Kevin
According to this report, state officials seized the machine last year and auctioned it off to help pay his tax debt (it went for $65k, if you’re wondering). [read post]
11 Nov 2022, 12:41 am by Tessa Shepperson
When the yield on long-term gilts, so the yield on five-year gilts, goes up, the swap curve goes up, and the cost of hedging a five-year fixed-rate mortgage goes up. [read post]
22 Jul 2016, 6:10 am
FEC, Conflicts of interest, Institutional Investors, Pension funds, Political spending,Social capital, State law, Supreme Court Berkshire’s Blemishes: Lessons for Buffett’s Successors, Peers, and Policy Posted by Lawrence A. [read post]
19 Apr 2019, 6:12 am
Rouhandeh, and Michael Kaplan, Davis Polk & Wardwell LLP, on Saturday, April 13, 2019 Tags: Bonds, Corporate fraud, DOJ, International governance, Misconduct, Rule 144, SEC, SEC enforcement, Securities litigation, Securities regulation, Volkswagen 2019 Proposed Amendments to DGCL Posted by John Mark Zeberkiewicz and Brigitte Fresco, Richards, Layton & Finger, P.A., on Saturday, April 13, 2019 Tags: Appraisal… [read post]
10 Sep 2019, 5:14 am by Tom Zagorsky
Parker MacIntyre provides legal and compliance services to investment advisers, broker-dealers, registered representatives, hedge funds, and issuers of securities, among others. [read post]
13 Jun 2022, 3:45 pm by Bennett Cyphers
Most of the clients are the usual suspects in the data trade—marketing firms, hedge funds, real estate companies, and other data brokers. [read post]
23 Apr 2009, 4:20 am
Furthermore, federal and state government regulators frequently lack the resources and political support to perform effective oversight functions or bring enforcement actions. [read post]
10 Nov 2011, 10:45 am by Stikeman Elliott LLP
CCO report The report also states that there is often no evidence that a registered firm’s Chief Compliance Officer (CCO) has submitted an annual report to the firm’s board of directors, or equivalent, that assesses compliance by the firm and its registered individuals with securities law. [read post]
17 Feb 2011, 9:08 pm
”[6] MPEP § 707.07(f) incorrectly states that an examiner “should” answer all material traversed; it’s a statutory “must. [read post]