Search for: "John Doe Insurance Companies #1-10" Results 21 - 40 of 556
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11 Oct 2022, 7:16 am by Kevin LaCroix
John Carney on July 27, that allows companies to also exculpate corporate officers. [read post]
13 Oct 2022, 1:55 pm by Kevin LaCroix
What data- driven risk oversight processes does the corporation have in place to assess and mitigate the impact of quantifiable securities litigation risk exposures? [read post]
27 Jan 2012, 1:18 pm by Robert McKennon
Jones has opened, with other insurance regulators, an investigation of the 10 largest life insurance companies to determine whether they engaged in unfair practices in the payment of death benefits under life insurance policies and annuities. [read post]
15 Feb 2022, 2:05 pm by Kevin LaCroix
Claims brought following the de-SPAC are similar to securities lawsuits brought against other public companies, arising under Section 10(b), Section 14(a) and/or Section 20(a) of the Securities Exchange Act. [read post]
3 Aug 2011, 9:43 am by S2KM Limited
According to its Mission Statement: NYLB "acts for the Superintendent of Insurance as the court appointed fiduciary and Receiver of impaired and insolvent insurance companies, to maximize assets and resolve liabilities, return rehabilitated companies to the marketplace or distribute the proceeds of the company in a timely manner to creditors. [read post]
21 Mar 2022, 1:58 pm by Ambrose Stearns, Jr.
The amount that is required is only that which is “undisputed”, meaning that amount which the insurer does not reasonably dispute is owed to the plaintiff. [read post]
12 Apr 2011, 8:14 am
John Helfrich was an insured under a CGL (or Commercial or Comprehensive General Liability Insurance) policy issued by Cincinnati Insurance Company. [read post]
29 May 2018, 4:24 am by Andrew Lavoott Bluestone
  Must the attorney look to see whether the client has insurance, and if so, how hard does the attorney have to look? [read post]
10 May 2010, 7:04 pm by structuredsettlements
Meligan implies incorrectly that the "life insurance company" does two things (1) taking on the obligation to make payments THEN (2) pays the plaintiff in the form of an annuity. 4. [read post]
29 Mar 2017, 4:57 pm by Kevin LaCroix
Bank complaint does not constitute a “Securities Claim. [read post]
12 Mar 2017, 5:26 pm by Kevin LaCroix
Company officials also provided the plaintiffs with an updated version of the draft S-1. [read post]
8 May 2019, 3:00 pm by Kevin LaCroix
Here is Doug and John’s article. *************************** Our careers are devoted to securities and governance litigation defense – Doug on behalf of public companies and their directors and officers, and John on behalf of directors and officers (D&O) insurers and also directors and officers themselves from time to time. [read post]
21 May 2017, 9:15 am by John A. Gallagher
 John is usually available 24/7.You may also Click Here to e-mail John directly.Am I Entitled to New Jersey State Temporary Disability Benefit if I Work in Pennsylvania for a Company That is Headquartered in New Jersey? [read post]
24 Jul 2019, 1:40 pm by William K. Berenson
Berenson had a case several years ago where the at-fault driver’s attorney filed a motion to add a “John Doe” to the case. [read post]
29 Jan 2009, 7:04 pm
  Click to Download John Darer 10-28-2008 Opinion Request to New York Insurance OGC Link to NSSTA Financial Security Handout It was this author's opinion that prospective use in solicitation  of such freely downloadable  handout (that is still available  from the NSSTA website), might present a compliance issue for structured settlement brokers, structured settlement agents and settlement planners. [read post]