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3 Dec 2010, 9:15 am by Kara OBrien
This week we continue our weekly installment highlighting the best of the corporate and securities blogosphere for the past week. [read post]
25 Apr 2011, 8:19 pm
Cape Industries, unless one of the established grounds exist. [read post]
26 Jun 2010, 6:00 am by J Robert Brown Jr.
  This unquestionably would have made the proposal anti-shareholder and anti-investor. [read post]
17 Aug 2020, 5:27 am by Francis Pileggi
  “Properly understood, the concept of corporate power refers to whether the entity has been granted the ability to engage in a given act,” but “the concept of authorization refers to whether the proper intra-corporate actors or combination of actors, such as the corporation’s officers, directors, or stockholders, have taken the steps necessary to cause the corporation to take the given act. [read post]
Building on these papers, we add one further ingredient to the story, namely, corporate issuers, who have to raise a fixed amount of total debt financing and who must choose whether to issue at short or long maturities. [read post]
21 Mar 2011, 8:34 am by Jan Lederman
As well, venture capital and private equity investors will only invest in the securities of a corporation. [read post]
31 Oct 2018, 9:01 pm by Vikram David Amar and Jason Mazzone
It is one thing for California to take the position that if a corporation wants to avail itself of the benefits of incorporating in the Golden State it must structure its board in a certain way. [read post]
McRitchie, the Council of Institutional Investors and others have called for the SEC to review its position on these “conflicts”, which SEC Chair White has now done. [read post]
14 Jan 2018, 5:37 pm by Sam Grice
With a period of sustained low-interest rates, investors and corporates have started to look towards M&A as a way to increase investment returns. [read post]
10 Jul 2007, 8:08 am
" In other words, an investor must show facts that support an inference of wrongful intent that is at least as likely as inferences that would show that corporate officers did not intend to defraud shareholders. [read post]
21 Sep 2007, 2:16 am
Berle professor of law at Columbia University Law School and director of its Center on Corporate Governance, writes that debacles in the financial markets usually have their roots in the failure of one (or more) "gatekeepers. [read post]
26 Jul 2021, 5:59 am
Related research from the Program on Corporate Governance includes The Agency Problems of Institutional Investors by Lucian Bebchuk, Alma Cohen, and Scott Hirst (discussed on the Forum here); Index Funds and the Future of Corporate Governance: Theory, Evidence, and Policy by Lucian Bebchuk and Scott Hirst (discussed on the forum here); and The Specter of the Giant Three by Lucian Bebchuk and Scott Hirst (discussed on the Forum here). [read post]
30 May 2024, 9:05 pm by renholding
“Diversified investor” is just one more “capacity,” like employee or creditor, that is simply not relevant to fiduciary duties. [read post]
(BCR) OPERS 99.52% 82.90% Cabot Oil & Gas Corporation (COG) NCDST 99.81% 85.59% Cameron International Corporation (CAM) NCDST 98.57% 86.57% FMC Technologies, Inc. [read post]
10 Feb 2013, 10:03 am by Larry Catá Backer
These ‘disciplines,’can also act as forms of soft law, where governance can exist within and without the apparatus of the State, where“soft international law has begun to provide incentives for the management of a values-based behavior structure for multinational corporations…[and]… serve as a vehicle for the enhancement of a market environment in which corporate stakeholders, and principally consumers and investors, might incorporate… [read post]
22 Jan 2015, 1:44 am by Kevin LaCroix
When Congress enacted stiff executive compensation clawbacks as part of the Dodd-Frank Act, the assumption was that the adoption of these kinds of measures would reduce the number of corporate restatements and increase investor confidence in financial reports. [read post]
21 Apr 2021, 9:37 am by The White Law Group
Although one of its funds made a special distribution last year, the firm has not paid any other distributions since 2018. [read post]
25 Jul 2012, 9:49 pm by InvestorLawyers
Non-traded REITs like this one are illiquid and inherently risky and, therefore, not suitable for many investors. [read post]
11 Apr 2021, 9:05 am by Staff Attorney
Advisor Marshall Isaacson (Isaacson), formally employed by brokerage firms National Securities Corporation (National Securities) and Newbridge Securities Corporation (Newbridge) has been subject to at least six customer complaints, one regulatory sanction, and three tax liens or judgements during the course of his career. [read post]