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7 Apr 2016, 8:11 am by Theodore R. Flo and Justin Angelo
He stated that, while the two agencies cooperate, they each have their own statutory mandates and that they set priorities independently. [read post]
1 Apr 2016, 6:04 pm by John Jascob
Vanguard is fighting his retaliation suit because, among other reasons, he did not report misconduct to the SEC, but the agency maintains that such external reporting is not a prerequisite to a Dodd-Frank claim (Danon v. [read post]
1 Apr 2016, 4:36 am by Jon Hyman
 — via Jeff Nowak’s FMLA Insights Labor Relations Court Overrules NLRB, Says Workers are Independent Contractors Not Employees of Referral Service — via Matt Austin Labor Law Non-Union Employee’s “Bad Attitude” Protected by the NLRA — via Labor Employment Law Blog Alt Labor — via Labor Relations Institute OSHA & Workplace Safety Secretary of Labor v. [read post]
17 Mar 2016, 4:51 pm by Kevin LaCroix
Further, state law could allow a corporation to indemnify a director or officer. [read post]
24 Feb 2016, 2:22 am by Matrix Legal Support Service
The trial judge held that he was bound to follow the approach adopted by the House of Lords in the cases of Cookson v Knowles [1979] AC 556 and Graham v Dodds [1983] 1 WLR 808 and to calculate the multiplier from the date of death. [read post]
9 Feb 2016, 7:47 am by John Jascob
The court also dismissed the employee’s Dodd-Frank anti-retaliation claim, finding the Fifth Circuit’s reasoning in Asadi v. [read post]
8 Feb 2016, 5:00 am by John Jascob
The Commission will hear Bebo’s administrative appeal later this year (Bebo v. [read post]
29 Jan 2016, 6:07 am
Halper, Orrick, Herrington & Sutcliffe LLP, on Monday, January 25, 2016 Tags: Class actions, Derivative suits, Disclosure, Dodd-Frank Act, Erica John Fund v. [read post]
25 Jan 2016, 4:00 am by Howard Friedman
Youth & Society, doi:10.1177/0044118X15621224).Elizabeth Rose Schlitz, Rulemaking Under Dodd-Frank: Putting the 'Person' Back Into the Consumer Lending Process, (8 University of St. [read post]
22 Jan 2016, 6:13 am
Sullivan, Ropes & Gray LLP, on Sunday, January 17, 2016 Tags: Compliance and disclosure interpretation, Derivatives, Investment Company Act, Investor protection, Leverage,Mutual funds, No-action letters, Private funds, Risk, Risk management, Rule 18f-4, SEC, SEC rulemaking, Securities Regulation, Swaps PECO v. [read post]
5 Jan 2016, 9:30 am by Guest Blogger
Gerard Magliocca, buoyed by the ACA surviving a second Supreme Court review in King v. [read post]
14 Dec 2015, 5:36 am
 In general, an indictment that tracks the words of a statute to state the elements crime is acceptable, provided that it states sufficient facts to place a defendant on notice of the specific conduct at issue. [read post]