Search for: "Securities Co. v. United States" Results 501 - 520 of 3,810
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18 Sep 2014, 9:01 pm by John Dean
While there are some distinctions, Lou, a leading constitutional authority on national security law and separation of powers, found a case as early as 1912, Firth Sterling Steel Co. v. [read post]
24 Jan 2014, 1:30 pm by bricitro
Singh has previously testified before the United States Congress on the subject of prisoner abuse and torture associated with the Bush Administration’s application of “enhanced interrogation techniques. [read post]
3 May 2022, 6:32 am
Each of the individual amici is a sophisticated businessperson and investor who has publicly litigated against the United States Securities and Exchange Commission (“SEC”). [read post]
3 May 2022, 6:32 am
Each of the individual amici is a sophisticated businessperson and investor who has publicly litigated against the United States Securities and Exchange Commission (“SEC”). [read post]
4 Sep 2012, 6:19 am by Luke Hagedorn
Standing at this crossroads in our nation’s energy policy, the key question is which paths these states will choose to best secure their place as a key player in the United State’s energy future. [read post]
22 Jul 2022, 9:06 am by John Stigi and Alejandro Moreno
July 15, 2022) (Jacobs, J.), the United States Court of Appeals for the Second Circuit declined to impose “scheme liability” under subsections (a) and (c) of the Securities & Exchange Commission Rule 10b-5 (17 C.F.R. [read post]
27 Nov 2023, 2:12 am by CMS
The Supreme Court found in favour of the Secretary of State, as had the Divisional Court and the Court of Appeal, that the Immigration and Social Security Co-ordination (EU Withdrawal) Act 2020 had in effect made the Asylum Procedures Directive no longer applicable. [read post]
21 Oct 2016, 8:21 am by Kristen Eichensehr
Royal Dutch Petroleum Co., during which multiple justices discussed amicus briefs from the European Commission, the United Kingdom and the Netherlands. [read post]
30 Mar 2010, 10:34 am by Kurt J. Schafers
FINRA became the largest independent regulator for all securities firms doing business in the United States, and is responsible for overseeing brokerage firms, their branch offices and registered securities representatives.Under the Securities Exchange Commission’s authority FINRA promulgates rules of its own as a self regulatory organization (“SRO”). [read post]
22 Feb 2018, 5:00 am by Sharon Bradford Franklin
On Feb. 27, the Supreme Court will hear oral argument in United States v. [read post]