Defendant Name:
Citigroup Global Markets Inc.
Defendant Type:
Subsidiary of Public Company
Public Company Parent:
Citigroup Inc.
SIC Code:
6021
CUSIP:
17296710
Document Reference:
complaint_08-cv-10753
Document Details
Legal Case Name
SEC v. Citigroup Global Markets, Inc.
Document Name
Complaint
Document Date
11-Dec-2008
Document Format
Civil Proceeding
Case Number
08-cv-10753
Federal District Court
New York, Southern District of New York
Federal District Judge
Richard M. Berman
Allegation Type
Broker Dealer
Document Summary
In the Complaint, the SEC stated: "This is a case in which the Defendant misled tens of thousands of its customers regarding the fundamental nature and increasing risks associated with auction rate securities ('ARS') that Citi underwrote, marketed and sold. Through its financial advisers ('FAs'), sales personnel, and marketing materials, Citi misrepresented to customers that ARS were safe, highly liquid investments comparable to money market instruments. As a result, numerous customers invested in ARS funds they needed to have available on a short-term basis." In particular, the SEC alleged that: "During the fall of 2007, the credit crisis and deteriorating market conditions caused Citi to have to support its auctions to a greater extent. Citi knew the ARS market was deteriorating and Citi's inventory of ARS was significantly increasing. Accordingly, Citi knew the risk of failed auctions had materially increased. Citi knew these material facts but did not disclose to its customers timely, complete, and accurate information about them."