Search for: "D&S Investments, LLC" Results 1521 - 1540 of 2,071
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21 May 2012, 2:57 am by John L. Welch
Once again, let's put that theory to the test with the five Section 2(d) appeals set out below. [read post]
16 May 2012, 7:37 am by Rob Robinson
bit.ly/JbEROt (Philip Favro) Updated: 10 Years of eDiscovery Mergers, Acquisitions and Investments - bit.ly/y9FMKO (@ComplexD) Reports and Resources Google: First Amendment Protection For Search Engine Results (PDF) bit.ly/IMF8Gm (Eugene Volokh, Donald Falk) Introduction to Statistical Sampling in Electronic Discovery - bit.ly/KFv17p (Apersee) LinkedIn Financial Advisor Survey: Trends and Opportunities - bit.ly/IFLaVq (Tim Walker)… [read post]
16 May 2012, 1:28 am by Kevin LaCroix
  Background In March 2008, S-J Management LLC (SJM) obtained a $3.5 million line of credit from Commerce Bank. [read post]
15 May 2012, 1:40 pm
Today’s convictions reflect our determination to preserve fairness and competition in the financial services market. [read post]
15 May 2012, 9:14 am by William McGrath
As discussed here, the long process of litigation in the District Court and the Appellate Court meant that those who invested in Qwest waited ten years to see any recovery (even though Mr. [read post]
7 May 2012, 3:00 am by Peter A. Mahler
The lease between the Shure Trust and S&S Eatery included a long-term abatement of base rent for the cost of improvements, but perversely that only enhanced Shure's incentive to enforce an early lease termination if she became dissatisfied with the return on her investment in S&S Eatery or with her relationship with Spota.© 2012 Farrell Fritz, PC. [read post]
7 May 2012, 3:00 am by Peter A. Mahler
Driscoll who handed down two decisions early last month (a) denying Spota's application to stay the eviction proceeding, (b) granting Shure's application to dissolve the LLC, (c) ordering a hearing on Shure's request to appoint a receiver and for injunctive relief, and (d) permitting the business to continue to operate until its "eventual dissolution. [read post]
2 May 2012, 5:00 am by Doug Cornelius
• Reviewing your firms valuation policies and processes • Conducting your review throughout the year versus all at once Moderator: Charles Lerner, Editor, The US Private Equity Fund Compliance Guide and The US Private Equity Fund Compliance Companion & Principal, Fiduciary Compliance Associates LLC Panel Members Nicholas Denton-Clark, Managing Director & Chief Compliance Officer, PineBridge Investments LLC Kelly S. [read post]
25 Apr 2012, 10:40 am by Keith Griffin
According to FINRA’s Broker Check Web site, the company’s chief executive, O. [read post]
23 Apr 2012, 3:05 pm by D. Daxton White
Brokerage firms and financial advisors have a fiduciary duty to their clients to perform due diligence on any investment prior to recommending it for sale and to ensure that the investment is appropriate in light of the client’s  age, investment experience, net worth and investment objectives. [read post]
23 Apr 2012, 2:53 pm by admin
Extraordinary business d ecisions require a formal authorization by the Manager(s). [read post]
20 Apr 2012, 11:38 am by Brandy Sargent
AFA Investment Inc., and its affiliates, including AFA Foods, American Foodservice Corporation, United Food Group, LLC, and American Fresh Foods (together “AFA”) have requested that the Bankruptcy Court overseeing their Chapter 11 cases approve procedures for a sale of all of their assets. [read post]