Posts Tagged ‘2018’
Proposed Securities Class Action Against Danske Bank A/S
Act Now to Participate in the Action U.S. Market Advisors Law Group PLLC (USMA) is preparing for the filing of a securities fraud class action against Danske Bank A/S (Danske), on behalf of investors who suffered losses from purchases of Danske Bank ADRs (OTC:DNKEY) between February 6, 2014 and October 4, 2018 (Class Period). The…
Read MoreLONGFIN CORP. (NASDAQ:LFIN) INVESTIGATION AND FILED SECURITIES CLASS ACTION COMPLAINT
ACT NOW TO PARTICIPATE IN THE ACTION U.S. Market Advisors Law Group PLLC announces that it has filed a securities fraud class action on behalf of purchasers of the common stock of Longfin Corp. (NASDAQ: LFIN) between December 15, 2017 and April 2, 2018. The lawsuit seeks to recover damages for Longfin investors under…
Read MorePROPOSED SECURITIES CLASS ACTION AGAINST LENDINGCLUB CORP.
ACT NOW TO PARTICIPATE IN THE ACTION U.S. Market Advisors Law Group PLLC is preparing for the filing of a securities fraud class action against Danske Bank A/S (OTC:DNKEY), on behalf of investors who suffered losses from purchases of Danske Bank ADRs between February 6, 2014 and October 4, 2018. Contact Us to participate…
Read MorePROPOSED SECURITIES CLASS ACTION AGAINST DANSKE BANK A/S
ACT NOW TO PARTICIPATE IN THE ACTION U.S. Market Advisors Law Group PLLC is preparing for the filing of a securities fraud class action against Danske Bank A/S (OTC:DNKEY), on behalf of investors who suffered losses from purchases of Danske Bank ADRs between February 6, 2014 and October 4, 2018. Contact Us to participate…
Read MoreUSMA Preparing for Securities Litigation Against Danske Bank A/S
WASHINGTON, DC – U.S. Market Advisors Law Group PLLC announces the firm is preparing for the filing of a securities class action against Danske Bank A/S. (OTC:DNKEY) for alleged violations of federal securities laws. The investigation involves investors that purchased Danske Bank ADRs between February 6, 2014 and October 4, 2018. USMA Law Group’s Danske…
Read MoreLENDINGCLUB INVESTOR ALERT: Investigation and Proposed Securities Class Action Against LendingClub Corp Announced by USMA Law Group
WASHINGTON, DC – U.S. Market Advisors Law Group PLLC announces the firm is investigating whether LendingClub Corp. (NYSE: LC) violated federal securities laws. The investigation involves investors that purchased LendingClub common stock between February 27, 2015 and April 25, 2018. USMA Law Group is preparing for a securities fraud class action against LendingClub. The firm’s…
Read MoreImportant Securities Action Against Brazil's BRF S.A.
A securities fraud class action has been filed against BRF S.A. The Brazilian food processor and the world’s largest poultry exporter has been accused of paying bribes to regulators and politicians to subvert inspections to conceal unsanitary practices. Criminal arrests and charges have been brought against the CEO and others. These events have caused a…
Read MoreAceto Corp. Hit With Securities Class Action
WASHINGTON, DC (April 25, 2018) — U.S. Market Advisors Law Group PLLC announces that a securities class action has been filed against Aceto Corp. (NASDAQ: ACET). The class action is on behalf of investors who acquired Aceto securities between August 25, 2017 and April 18, 2018 (the “Class Period”). Allegations Against Aceto Aceto is an…
Read MoreSecurities Class Action Suit Filed Against Macquarie Infrastructure Corporation
WASHINGTON, DC (April 25, 2018) — U.S. Market Advisors Law Group PLLC announces that a securities class action has been filed against Macquarie Infrastructure Corporation (“Macquarie” or the “Company”) (NYSE: MIC). The class action is on behalf of investors who acquired Macquarie stock between February 22, 2016 and February 21, 2018 (the “Class Period”). Allegations…
Read MoreLONGFIN INVESTOR ALERT: USMA Law Group Announces Its Investigation and Proposed Securities Class Action Against Longfin Corp.
WASHINGTON, DC – U.S. Market Advisors Law Group PLLC announces the firm is investigating whether LongFin Corp. (NASDAQ: LFIN) violated federal securities laws. The investigation involves investors that purchased Longfin common stock between December 14, 2017 and March 25, 2018. USMA Law Group is preparing for a securities fraud class action against Longfin. The firm’s…
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