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Case Status:    DISMISSED    
On or around 07/14/2010 (Ongoing date of last review)

Filing Date: March 03, 2010

According to the complaint, the broker defendant involved in this action, fraudulently misrepresented and concealed facts that led to the loss of investment by the plaintiffs.

On July 14, 2010, Pursuant to Federal Rule of Civil Procedure 41(a)(1)(A)(i), the Plaintiffs voluntarily dismissed without prejudice all of its claims against Defendants.

COMPANY INFORMATION:

Sector: Financial
Industry: Insurance (Life)
Headquarters: United States

SECURITIES INFORMATION:

Ticker Symbol:
Company Market: Privately Traded
Market Status: Privately Held

About the Company & Securities Data


"Company" information provides the industry and sector classification and headquarters state for the primary company-defendant in the litigation. In general, "Securities" information provides the ticker symbol, market, and market status for the underlying securities at issue in the litigation.

In most cases, the primary company-defendant actually issued the securities that are the subject of the litigation, and the securities information and company information relate to the same entity. In a small subset of cases, however, the primary company-defendant is not the issuer (for example, cases against third party brokers/dealers), and the securities information and company information do not relate to the same entity.
COURT: S.D. Ohio
DOCKET #: 10-CV-00149
JUDGE: Hon. Susan J. Dlott
DATE FILED: 03/03/2010
CLASS PERIOD START: 01/01/2008
CLASS PERIOD END: 03/03/2010
PLAINTIFF FIRMS NAMED IN COMPLAINT:
  1. Eric C. Deters & Associates, P.S.C.
    5247 Madison Pike, Eric C. Deters & Associates, P.S.C., KY 41051-7941
    859.363.1900 859-363-1444 ·
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