Search for: "United States v. National Insurance Underwriters" Results 121 - 130 of 130
Sorted by Relevance | Sort by Date
RSS Subscribe: 20 results | 100 results
12 Jan 2021, 2:19 pm by Kevin LaCroix
  This has not been the case for insurers in the professional liability insurance industry. [read post]
26 Jan 2011, 12:54 am by Kevin LaCroix
These unlawful marketing activities were responsible for Pfizer paying the largest fine in United States history. [read post]
8 Sep 2010, 2:57 am by Kevin LaCroix
: Since January 1, 2008 and through September 3, 2010, 283 banks have failed in the United States, and the total number of failed banks continues to grow. [read post]
2 Aug 2015, 5:10 pm by Kevin LaCroix
As discussed here, in December 2014, investors who had purchased the company’s ADSs on the New York Stock Exchange filed a securities class action lawsuit in the Southern District of New York against the company; certain of its directors and officers; its auditor; and its offering underwriters. [read post]
26 Jul 2010, 9:08 am by Steven M. Taber
– Trading Markets.com, July 21, 2010 Consistent with Section 122 of the Comprehensive Environmental Response, Compensation, and Liability Act of 1980, as amended (“CERCLA”), 42 U.S.C. 9622(d), and 28 CFR 50.7, notice is hereby given that on July 16, 2010, the United States lodged a Consent Decree with 163 defendants (each of which is identified in the proposed Decree) in United States of America v. [read post]
10 May 2010, 11:30 pm by Martin George
This is reflected in microcosm by the spike in claims in the London Commercial Court in the late 1990s. 1,808 claims were initiated in 1999, explained in large part by the implosion of the Lloyd’s insurance market.8 Creditors become impatient in times of diminished liquidity. [read post]
12 Aug 2008, 2:00 pm
Insurance 3 Ben Silver Fuel Outdoor Acquisitions 3 Alex Yaroslavsky Yaro Group, LLC Mediator 3 David Cassese Apex Appraisal Group Appraisal - Residential 2 Paul Wong Concept Realty NY Commercial Broker 1 Sherri Fried RED STONE TITLE & ABSTRACT, LLC Title Insurance 3 AARON KAGAN STUYVESANT HEIGHTS PROPERTIES LLC INVESTOR/OWNER 2 Franklin Burrowes OODA & Co, Inc Investor / Owner 3 Ronald Gold Gold Appraisal Appraiser 2 … [read post]
25 May 2022, 9:01 pm by Richard Zelichov and Trevor T. Garmey
Securities Litigation, 768 F.3d 1046 (9th Cir. 2014) (violations of Section 303 do not give rise to private right of action under Section 10(b) and Rule 10b-5) with Stratte-McClure v. [read post]
29 Jan 2018, 11:28 pm by Kevin LaCroix
Our securities laws – and 80 plus years of practice – assume that securities lawyers, accountants, underwriters, and dealers will act responsibly. [read post]
11 Dec 2009, 11:38 am by James Hamilton
The regulations must also require any originator to disclose fulfilled repurchase requests across all trusts aggregated by the originator, so that investors may identify asset originators with clear underwriting deficiencies (Section 1504). [read post]