Search for: "Board of Directors v. Banke" Results 101 - 120 of 1,152
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30 Mar 2018, 6:01 am
Financial Crisis Inquiry Commission (2009-2011), on Tuesday, March 27, 2018 Tags: Banks, Deregulation, Dodd-Frank Act, Financial crisis, Financial Crisis Inquiry Commission, Financial institutions, Financial regulation, Foreign banks, Leverage, Prudence, S. 2155, Systemic risk, Too big to fail, US Senate Upcoming Volcker Rule Regulatory Changes Posted by Mark V. [read post]
13 Jun 2012, 2:00 am by Keith Paul Bishop
  What I found most interesting, however, was the role of an independent investigation commissioned by Peregrine’s Board of Directors. [read post]
13 Jul 2007, 5:54 am
The court said that the board of directors must put the interest of the company and the enterprise connected therewith first. [read post]
1 Oct 2008, 12:15 pm
The court pointed out that the case Central Bank of Denver, N.A. v. [read post]
14 May 2021, 6:07 am
Kling, Wachtell, Lipton, Rosen & Katz, on Friday, May 7, 2021 Tags: BanksBoards of Directors, Financial institutions, Mergers & acquisitions, Shareholder activism, Shareholder voting How Should Performance Signals Affect Contracts? [read post]
22 Jul 2016, 6:10 am
The Impact of Merger Legislation on Bank Mergers Posted by Jan-Peter Siedlarek, Federal Reserve Bank of Cleveland, on Friday, July 15, 2016 Tags: Antitrust, Banks, Europe, Financial institutions, Financial regulation, International governance, Market efficiency, Market reaction, Mergers & acquisitions, Systemic risk The Investor-Savvy Board Posted by Anthony Goodman, Russell Reynolds Associates, on Friday, July 15, 2016 Tags: Board communication,… [read post]
12 Sep 2014, 2:02 pm by Mack Sperling
Perhaps you are wondering whether a board of directors is free to revise its corporation's bylaws without shareholder consent. [read post]
6 May 2011, 5:00 am by J Robert Brown Jr.
  This is the case despite the fact that at least one recorded conversation between Rajaratname and Gupta apparently does exist (see Transcript of Closing Argument, at 5242 and the reference to a conversation about the Goldman board's consideration of the acquisition of a commercial bank). [read post]
28 Apr 2017, 6:02 am
Jackson, Harvard Law School, on Saturday, April 22, 2017 Tags: Accountability, Bank boards, Banks, Boards of Directors, CFPB, Compliance & ethics, Consumer protection, Financial institutions, Financial regulation, Incentives, Misconduct, Oversight, Proxy advisors, Risk oversight, Shareholder voting, Wells Fargo Assessing Financial Advisor Compensation Disclosure Following Vento v. [read post]
SEC Disclosure Requirements Item 407 of Regulation S-K requires a listed company to disclose “for each director or nominees for director…by specific category or type, any transactions, relationships or arrangements…that were considered by the board of directors under the applicable independence definitions in determining that the director is independent. [read post]
12 Jan 2021, 4:23 pm by Lawrence B. Ebert
CLS Bank International, 573 U.S. 208 (2014), and Mayo Collaborative Services v. [read post]