1.) Welcome to our first newsletter! |
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2.) CUG’s D&O Capabilities |
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3.) Lawyers Professional Liability |
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4.) CUG’s claims professionals |
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5.) WEB SITE GOES LIVE ON THE INTERNET |
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6.) "What do you look for when evaluating a company for D&O insurance?" |
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7.) THE SECURITIES EXCHANGE COMMISSION (SEC) |
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8.) D&O Underwriting Team Expands to Meet Growing Demand |
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9.) How many "Circuits" are there, and where are they? |
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10.) LAWS OF UNINTENDED CONSEQUENCES |
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11.) Our Claims Expertise |
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12.) Insider Trading: The SEC Clarifies |
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13.) 2000: Some Thoughts |
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14.) Binder Conditions: Why They Are important |
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15.) Top Ten Causes of Lawyers Malpractice Claims |
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16.) The D&O Policy: A Quick Refresher |
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17.) Bill Schwass Retires from Chicago Underwriting Group, Inc. |
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18.) PLUS 2001 |
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19.) The IPO "Laddering" Saga |
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20.) Goodwill: Let the Games Begin |
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21.) Some History |
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22.) WASHINGTON CONFRONTS THE ENRON LEGACY |
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23.) DIRECTORS & OFFICERS LIABILITY TODAY: A COMMENT |
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24.) Special Ratings Issue |
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25.) THE TERRORISM RISK INSURANCE ACT OF 2002 [TRIA] |
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26.) THE CUG WEB SITE IS UPGRADED |
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27.) CONFERENCE CALLS |
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28.) WHAT IS SEVERABILITY? |
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29.) CALIFORNIA CIGA FEE |
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30.) REVIEW OF 2003 |
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31.) Policyholders focusing on compliance |
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32.) Security Class Action Filings 1991-2003 |
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33.) Risk Based Capital (RBC) |
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34.) Web-Based Document Delivery Launched |
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35.) A NEW LOCATION - WITH SOME HISTORY |
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36.) Tillinghast 2004 D&O Survey |
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37.) COMMENTS ON THE LIFE SCIENCE INDUSTRY |
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38.) THE SUPREME COURT RULES ON DURA |
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39.) INSURANCE REGULATION: CHANGE IS URGED; THE NAIC DIGS IN |
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40.) PLACING D&O BUSINESS I N THE INTERNET AGE |
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41.) CHICAGO UNDERWRITING GROUP INTRODUCES EXCESSFIRST™ |
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42.) 2005 SECURITIES CLASS ACTION FILINGS: AN EARLY APPRAISAL |
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43.) D&O Underwriting Preferences: Brokers Guide 2006 |
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44.) THE DABIT DECISION: A LOOPHOLE CLOSED |
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45.) STOCK OPTIONS BACKDATING |
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46.) D&O INSURANCE AND BLOGS |
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47.) FROM CORRUPTION TO COURTROOM: THE MANY ROADS |
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48.) D&O Underwriting Preferences - January 2007 |
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49.) THIS ISSUE CONTAINS SEVERAL ITEMS OF INTEREST. |
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50.) 10b5 TRADING PLANS REVISITED |
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51.) TELLABS REVISITED |
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52.) A Circuit Split |
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53.) Congress and TRIA |
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54.) SCA Filings and Volatility |
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55.) Qwest & Joseph Nacchio1 |
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56.) NEW LOGO |
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57.) A Revolution in Regulatory Reporting |
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58.) The 1980s and 1990s |
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59.) Volatility and Securities Class Action Frequency |
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60.) TODAY’S U.S. P&C INSURANCE INDUSTRY:WATERSHED OR PHONY WAR? |
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61.) INSURANCE REGULATION IN A TIME OF CRISIS |
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62.) Shareholder Power: New Dawn or Just a Break in the Clouds? |
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64.) Senator Arlen Specter moves to thwart Stoneridge |
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65.) A look at Shareholder Derivative Lawsuits |
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66.) NEW SIDE A FORM |
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67.) SOME COMMENTS ON ETHICS |
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68.) EXPANDING INTO NONPROFIT D&O |
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69.) FINANCIAL REFORM ENACTED |
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70.) THE BASEL III ACCORD: WHAT IS IT? |
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71.) Emulating Rip van Winkle |
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72.) THE NEAL BILL |
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73.) WHISTLEBLOWING UNDER DODD-FRANK |
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74.) SUPREME COURT: ERICA P. JOHN FUND V. HALLIBURTON |
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75.) WHATEVER HAPPENED WITH …? |
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76.) THE SEC: AN AGENCY REVIEWED |
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77.) SECURITIES LAWSUITS ANALYSIS |
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78.) BACKGROUND |
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79.) ORUG-91 LAUNCHED |
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80.) 2012: THE PLAINTIFFS’ BAR STRIKES BACK |
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81.) WAITING FOR THE REPORT |
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82.) 1. SECTION 929Z: GAO STUDY OF SECURITIES LITIGATION |
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83.) SECURITIES CLASS ACTION LAWSUITS AND MERGER & ACQUISITION LITIGATION |
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84.) THE DODD-FRANK WHISTLEBLOWER PROGRAM: YEAR 1 |
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85.) Title I: Reopening American Capital Markets to Emerging Growth Companies |
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86.) TRIA: BACK IN THE LIMELIGHT |
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87.) 1. EXCLUSIVE-FORUM PROVISIONS |
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88.) H.R. 1155: A BILL TO REFORM THE NATIONAL ASSOCIATION OF REGISTERED AGENTS AND BROKERS |
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89) HALLIBURTON TAKES ON BASIC |
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90.) THE REPORT: SELECTED EXTRACTS |
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91.) READING THE SIGNS |
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92.) THE PAPER |
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93.) THE U.S. SUPREME COURT DECIDES HALLIBURTON |
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94.) FORUM SELECTION |
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95.) A-SURE KEY FEATURES |
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96.) TRIA RENEWED |
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97.) FEDERAL SECURITIES LAWS: 1933 AND 1934 |
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98.) ACTIVIST SHAREHOLDERS: WHITE KNIGHTS, OR BARBARIANS AT THE GATE? |
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99.) The Decline in Publicly Listed Companies |
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100.) Underwriters of D&O and Professional Liability Insurance |
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101.) November 2015 |
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102.) we look at proxy access |
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103.) the release of our latest primary D&O policy, |
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104.) an expanded product initiative for private companies |
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105.) our D&O underwriting preferences are revisited |
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106.) a new name, new products, new staff, new web site |
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107.) violations of the Securities Act of 1933 |
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108.) “Who’s on first, What’s on second, meet Today and check out our pitcher, Tomorrow!” |
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