Search for: "In Re Securities and Exchange Commission" Results 1021 - 1040 of 2,832
Sorted by Relevance | Sort by Date
RSS Subscribe: 20 results | 100 results
12 Jun 2009, 11:03 am
Osborne Professor of Law at Stanford, and prior to that, a Professor of Law at Columbia Law School, counsel to a commissioner of the Securities and Exchange Commission, an attorney at Skadden Arps in New York, and a clerk for the Hon. [read post]
7 May 2009, 2:17 pm
Give the Securities and Exchange Commission and its new chairman, Mary Schapiro, credit where it is due. [read post]
11 Mar 2011, 5:00 am by Doug Cornelius
Securities and Exchange Commission is about 400 employees short of what it needs to manage its current workload, according to a consultant’s four- month internal review mandated by the Dodd-Frank Act. [read post]
1 Jun 2012, 5:06 am by Doug Cornelius
Shaw, Merrill Lynch and JPMorgan Chase — and at least one is a former Securities and Exchange Commission regulator. [read post]
18 Feb 2020, 10:00 am by William Ford
’s nascent 5+5 Libyan Joint Military Commission. [read post]
8 Mar 2012, 12:30 pm by Jenna Greene
Securities and Exchange Commission, spoke on a panel Thursday at Georgetown University Law Center’s annual Corporate Counsel Institute. [read post]
22 Nov 2016, 6:51 am by J. Dana Stuster
“At this stage, we’re going to need a change in how all parties think about this in order for us to end the situation there. [read post]
21 Nov 2011, 2:00 am by Kara OBrien
The Securities and Exchange Commission (the “SEC”), in a broad ranging Concept Release issued in July 2010, acknowledged that its staff is in the process of reviewing current disclosure requirements relating to holdings of financial instruments, including short sale positions and derivatives positions often utilized by activist investors to magnify their economic return. [read post]
25 Nov 2020, 3:07 am by Liz Dunshee
The proposed amendments would also permit an Exchange Act reporting company to make registered securities offerings to its platform workers using Form S-8. [read post]
20 Jan 2015, 4:20 pm by Cyrus Farivar
The Securities and Exchange Commission (SEC) has opened an investigation of GAW Miners and its CEO Josh Garza, according to CoinFire, a Bitcoin news site, which on Tuesday cited “1,000 pages of a [leaked] investigation file. [read post]
4 Jul 2017, 6:46 pm by Sabrina I. Pacifici
This is a problem we set out to improve a couple of years ago in the US with the introduction of Sqoop, a free data journalism site intended to make it easier for reporters to find and track public records, starting with the Securities and Exchange Commission (SEC), the Patent Office, and the federal court system, otherwise known as PACER (public access to court automated records). [read post]
20 Dec 2015, 7:13 am
 [2] In so doing, the employer re-invigorated the debate over whether Dodd-Frank’s anti-retaliation protections cover individuals who report to their employers, as opposed to contacting the Securities and Exchange Commission (“SEC”). [read post]
20 Jun 2016, 2:32 pm by Cyrus Farivar
This is the second civil suit filed against the company within the last six months—it was sued by the Securities and Exchange Commission in December 2015 over similar accusations of fraud. [read post]
4 Jun 2010, 7:31 am by admin
Members of Congress are under growing political pressure as the election approaches, and anti-bank sentiment has been worsened by recent disclosures about the industry, including the Securities and Exchange Commission’s civil lawsuit against Goldman Sachs. [read post]
25 Aug 2016, 7:51 am by Arina Shulga
As you all probably already know, in 2015 the Securities and Exchange Commission (or the SEC) adopted Regulation Crowdfunding to implement Title III of the Jumpstart Our Business Startups (JOBS) Act. [read post]
29 Oct 2013, 11:00 am by Matthew Tolve
  The SEC alleged that Cuban engaged in insider trading, in violation of Section 17(a) of the Securities Act of 1933, Section 10(b) of the Securities Exchange Act of 1934, and SEC Rule 10b-5, by selling his shares of Mamma.com, after learning that the company was to engage in a PIPE offering, in advance of the public announcement—allegedly avoiding losses of $750,000. [read post]
3 Aug 2018, 6:10 am
Securities and Exchange Commission, on Tuesday, July 31, 2018 Tags: Broker-dealers, Conflicts of interest, Duty of care, Duty of loyalty, Fiduciary duties, FINRA, Form ADV, Form CRS, Governance standards, Investment advisers, Investor protection, Retail investors, SEC, Securities regulation Statement Announcing SEC Staff Roundtable on the Proxy Process Posted by Jay Clayton, U.S. [read post]
2 Apr 2015, 7:32 am by Joe Consumer
Yesterday, the huge government contractor KBR agreed to pay $130,000 to settle with the Securities and Exchange Commission for using employment agreements to muzzle whistleblowers, specifically requiring “witnesses in certain internal investigations interviews to sign confidentiality statements that could have kept them from reporting possible securities-law violations to authorities. [read post]
8 May 2022, 9:01 pm by Gary Gensler
In the very first line of that bill, it said they were “amend[ing] the Securities Exchange Act of 1934 to remove barriers to competition. [read post]