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7 Jan 2022, 6:20 am
The recent Superior Court decision in Serviz, Inc. v. [read post]
4 Jan 2022, 10:09 pm
AMG Capital Management, INC. v. [read post]
4 Jan 2022, 3:00 am
(C071785; 39 Cal.App.5th 708; Yolo County Superior Court; CVCV091258.) [read post]
29 Dec 2021, 12:00 pm
As long-time readers of this blog know, one of the long-range concerns in the D&O insurance industry is the possible exposures of corporate directors and officers to liability claims arising from climate change (as discussed most recently here). [read post]
27 Dec 2021, 6:20 am
The recent Superior Court decision in Serviz, Inc. v. [read post]
9 Dec 2021, 2:56 pm
Young EnergyServe Inc. [read post]
1 Dec 2021, 1:29 pm
The Pfizer Case The Delaware Superior Court’s decision in Pfizer Inc. v. [read post]
22 Nov 2021, 3:00 am
(C071785; 39 Cal.App.5th 708; Yolo County Superior Court; CVCV091258.) [read post]
8 Nov 2021, 9:59 am
Molten USA, Inc., 556 F.3d 1300 (Fed. [read post]
7 Nov 2021, 3:26 pm
Superior Ct. [read post]
1 Nov 2021, 8:09 am
Age of Learning, Inc. [read post]
25 Oct 2021, 8:12 am
MGFB Properties, Inc. v. [read post]
2 Oct 2021, 7:41 am
You can file an appeal to tell a set of superior judges that the circuit judge made the wrong decision. [read post]
20 Sep 2021, 7:34 am
Superior Court (1995) 10 Cal.4th 1185); sellers of used products (Wilkinson v. [read post]
30 Aug 2021, 8:55 am
Flo & Eddie, Inc. v. [read post]
26 Aug 2021, 6:00 am
La Presse (2018) Inc. [read post]
9 Aug 2021, 2:22 pm
Scilex Pharmaceuticals Inc. v. [read post]
8 Aug 2021, 10:03 am
The Delaware Superior Court recently dismissed Jarden LLC’s bid for D&O insurance coverage for an appraisal suit that was not “for” redress of a “wrongful act” – and even if it was, the act couldn’t have occurred before the sale to Jewel Rubbermaid Inc. closed, ending the coverage period, in Jarden LLC v. [read post]
6 Aug 2021, 11:00 am
AMG Capital Management, INC. v. [read post]
2 Aug 2021, 10:37 am
FINRA bars Former CFD Advisor Dana Vietor after Allegations of Unapproved Securities Sales On March 23, 2020, The Financial Industry Regulatory Authority (FINRA) reportedly found that Vietor allegedly engaged in $3 million in sales of promissory notes to customers without disclosing and receiving approval from his member firms for each alleged private securities transaction. [read post]