Search for: "Security Financial Fund LLC" Results 1301 - 1320 of 3,786
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26 Dec 2019, 6:52 am by Rob Robinson
Year M&A+I Events (Running Listing: November 2001 – Today) eDiscovery Mergers, Acquisitions, and Investments Event DateAcquired (Investee)Acquirer (Investor)Amount (Estimated $) 20-Dec-19KLDiscovery (Merger)Pivotal Acquisition Corporation (Merger) 25-Nov-19ObserveITProofpoint$225,000,000 20-Nov-19Active Navigation (Investee)Series A Funding (Mobeus)$11,000,000 11-Nov-19CarboniteOpenText$1.42B - Note: Announced - Not Closed 1-Nov-19Nexem Legal (Data Management and Managed Review… [read post]
24 Dec 2019, 9:12 am by Silver Law Group
Shimson Plotkin (CRD: 2431863) is a currently registered broker and investment advisor who is currently employed with Independent Financial Group, LLC (CRD#: 7717) of Chevy Chase, MD. [read post]
20 Dec 2019, 6:10 am
Guest, Wachtell, Lipton, Rosen & Katz, on Saturday, December 14, 2019 Tags: Banks, FDIC, Financial institutions, Financial regulation, Mergers & acquisitions Together but Separate: Private Equity Funds Liability for Portfolio Company Pension Obligations Posted by Rick Giovannelli and Ali U. [read post]
19 Dec 2019, 10:13 am by Green, Schafle & Gibbs
Maughan exercised de facto control over the trust account and made all investment decisions in it, including what securities to buy and sell, the quantities of the securities to buy and sell and when each transaction would occur. [read post]
19 Dec 2019, 1:31 am by Alan Rosca
Prior to this allegation, Timothy Johnson was a registered broker with MML Investors Services LLC, a FINRA member firm. [read post]
19 Dec 2019, 1:31 am by Alan Rosca
Prior to this allegation, Timothy Johnson was a registered broker with MML Investors Services LLC, a FINRA member firm. [read post]
16 Dec 2019, 7:31 am by Staff Attorney
  According to BrokerCheck records, Stokes is formerly registered with The Financial Industry Regulatory Authority (FINRA) member firm LPL Financial LLC (LPL Financial). [read post]
15 Dec 2019, 10:12 am by Renae Lloyd
The White Law Group, LLC is a national securities fraud, securities arbitration, investor protection, and securities regulation/compliance law firm with offices in Chicago, Illinois and Franklin, Tennessee. [read post]
12 Dec 2019, 2:40 pm by Cynthia Marcotte Stamer
Specifically, the settlements would obligate McDonald USA, LLC to collect the funds ordered to fund the Settlement Fund from the Franchisees and deposit them with the NLRB as well as to issue a Special Notice if a Franchisee, within 9 months of approval of its settlement agreement, breaches its settlement agreement obligations by discharging, reducing hours or suspending a worker or engaging in other prohibited conduct like that alleged in the complaint. [read post]
12 Dec 2019, 1:58 am by Cari Rincker
We can help you put a plan in place that helps you successfully pass your business on to the next generation and ensures that you have a financially secure retirement. [read post]
11 Dec 2019, 10:11 am by Renae Lloyd
According to filings with the SEC, Ocean Fund LTD is a hedge fund operated by Infinity Capital Advisors, LLC and has approximately $70.7 million in assets. [read post]
10 Dec 2019, 7:59 am by Renae Lloyd
The White Law Group, LLC is a national securities fraud, securities arbitration, investor protection, and securities regulation/compliance law firm with offices in Chicago, Illinois and Franklin, Tennessee. [read post]
10 Dec 2019, 7:01 am by Jay Butchko
People pay premiums into the Social Security fund through deductions from income, so they can receive benefits during their lifetime. [read post]
9 Dec 2019, 3:51 am by Alan Rosca
Lester Burroughs was Discharged from Employment of Lincoln Investment Planning, LLC Lester Burroughs was discharged from his employer, Lincoln Investment Planning LLC on December 6, 2019, when they became aware of the charges filed by the United States Securities and Exchange Commission and United States Attorney’s Office wherein Burroughs plead guilty to one count of wire fraud in the sale of fictitious insurance contracts to four individuals, FINRA states. [read post]
9 Dec 2019, 3:51 am by Alan Rosca
Lester Burroughs was Discharged from Employment of Lincoln Investment Planning, LLC Lester Burroughs was discharged from his employer, Lincoln Investment Planning LLC on December 6, 2019, when they became aware of the charges filed by the United States Securities and Exchange Commission and United States Attorney’s Office wherein Burroughs plead guilty to one count of wire fraud in the sale of fictitious insurance contracts to four individuals, FINRA states. [read post]
7 Dec 2019, 5:30 am by Staff Attorney
  According to BrokerCheck records, Johnson is formerly registered with The Financial Industry Regulatory Authority (FINRA) member firm MML Investors Services, LLC (MML). [read post]
2 Dec 2019, 11:29 am by Renae Lloyd
GPB Holdings II LP is a private placement fund sponsored by GPB Capital Holdings, LLC, a New York-based global asset management firm. [read post]