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27 Dec 2010, 8:12 pm by David Jacobson
Expand All December 2010 (26) 29: ASX-listed company trading policies 29: Privacy case notes 9-24 of 2010 29: Compliance Training and Procedure Reviews 29: FOI Guidelines 29: APRA consolidates prudential standards 29: Proposed amendments to AML/CTF Rules 29: ASIC guide on insurance for trustee companies 29: Improving financial reports: ASIC’s suggestions 28: Website update 28: Archived Posts Sitemap: Australian Regulatory Compliance Review 21:… [read post]
23 Dec 2010, 11:22 am by Meyers Nave
Hamilton Bank of Johnson City, 473 U.S. 172 (1985) to be prudential rather than jurisdictional in order to address, and reject, the Guggenheim’s facial takings claims on the merits. [read post]
15 Dec 2010, 2:12 am by Вихър Георгиев
Regulation (EU) No 1093/2010 establishing a European Banking Authority Regulation 1093/2010 establishes a European Banking Authority (EBA). [read post]
13 Dec 2010, 1:30 am
The proposals involved disbanding the Financial Services Authority and establishing the following three specialist regulators: •  a macro prudential regulator, the Financial Policy Committee, within the Bank of England with no direct regulatory responsibility for any firms;•  a micro prudential regulator, the Prudential Regulation Authority, a subsidiary of, but operationally independent from, the Bank of England; and•  a… [read post]
9 Dec 2010, 11:06 am by Simon Lester
 And that same thing, then, could be happening with our bail-out money to banks. [read post]
7 Dec 2010, 5:00 am by Doug Cornelius
“Therefore there is no possibility of a, quote, ‘run on the bank. [read post]
6 Dec 2010, 5:00 am by Doug Cornelius
How many of them are already registered with the SEC. 1 The Blackstone Group Yes 2 Morgan Stanley Real Estate Investing Yes 3 Tishman Speyer 4 Goldman Sachs Real Estate Principal Investment Area Yes 5 Colony Capital Yes 6 LaSalle Investment Management Yes 7 Beacon Capital Partners 8 The Carlyle Group Yes 9 MGPA 10 Lehman Brothers Real Estate Private Equity Yes 11 CB Richard Ellis Investors Yes 12 Westbrook Partners 13 Starwood Capital Group Yes 14 AREA Property… [read post]
25 Nov 2010, 10:38 pm
A123's reliance on this court's decision in Genentech, 143 F.3d 1446, is unavailing; the Supreme Court vacated that decision in light of its decision in College Savings Bank v. [read post]
22 Nov 2010, 9:01 am by Phillips & Cohen
., Broadband Research LLC, First New York Securities LLC, Ziff Brothers, Jana Partners LLC, TPG-Axon Capital Management, Prudential Financial Inc.'s Jennison Associates asset-management unit, UBS AG's UBS Financial Services Inc. unit, and Deutsche Bank AG.Insider-trading charges are expected against consultants, investment bankers, hedge-fund and mutual-fund traders and analysts across the nation, the Journal says.This looks like another instance where many of the very… [read post]
12 Nov 2010, 10:05 am by James Hamilton
In particular, the G-20 pledged to implement fully the new bank capital and liquidity standards and address too-big-to-fail problems.Also, with the European Parliament having just passed legislation similar to Dodd-Frank to regulate hedge funds, the G-20 committed to work in an internationally consistent and non-discriminatory manner to strengthen regulation of hedge funds, OTC derivatives and credit rating agencies. [read post]
12 Nov 2010, 6:37 am by Simon Lester
Nonetheless, in circumstances where countries are facing undue burden of adjustment, policy responses in emerging market economies with adequate reserves and increasingly overvalued flexible exchange rates may also include carefully designed macro-prudential measures. [read post]
11 Nov 2010, 4:04 pm by James Hamilton
The Directive will not apply to entities such as governments managing funds supporting social security and pension systems; supranational institutions, such as the World Bank and member organizations of the World Bank Group.The all-encompassing approach of the European Commission’s draft proposal has been retained in the final legislation, covering all the major types of alternative investment fund managers and alternative investment funds. [read post]
10 Nov 2010, 2:41 pm by Kara OBrien
  Notable examples are AT&T, Weyerhaeuser and Bank of America. [read post]
9 Nov 2010, 2:13 am by Durga Rao
The reply of the bank must indicate application of mind by the bank that the decision of the bank in classifying the account as NPA was fully in conformity with the prudential norms of RBI. [read post]
8 Nov 2010, 3:18 am by sally
Court of Appeal (Criminal Division) C, R v [2010] EWCA Crim 2578 (04 November 2010) Qazi & Anor, R v [2010] EWCA Crim 2579 (04 November 2010) Court of Appeal (Civil Division) HHY Luxembourg Sarl & Anr v Barclays Bank Plc & Ors [2010] EWCA Civ 1248 (22 October 2010) High Court (Queen’s Bench Division) Eurocall Ltd v Energis Communications Ltd & Anor [2010] EWHC 2790 (QB) (04 November 2010) Jaison Property Development Co Ltd v Swinhoe [2010] EWHC 2467 (QB) (15 October… [read post]
4 Nov 2010, 3:48 pm by James Hamilton
European Central Bank Members have noted that the Volcker Rule is incompatible with the universal banking model, which allows all banks to offer all banking services, and could even have the unintended consequence of banning activities that might mitigate riskGiven the City of London’s significance as a world financial center, noted Rep. [read post]
4 Nov 2010, 11:43 am by Chris Brummer
  Still, there are broad areas of agreement such that the US positions as already articulated in the Dodd-Frank Act should provide either the basis or momentum for even greater coordination abroad in areas relating to the accounting of financial instruments, the regulation of clearinghouses and central counterparties, and even, perhaps, greater prudential regulations for the shadow banking industry. [read post]