Regulators urge AIG probe

Risk & Insurance, Nov, 2004

SEC regulators have launched an investigation into an AIG division in connection with alleged violations of federal securities laws, AIG has announced. The allegations involve transactions marketed by AIGFP before 2003, including three transactions entered into by a subsidiary of AIGFP with PNC between June 2001 and November 2001.

COPYRIGHT 2004 Axon Group
COPYRIGHT 2008 Gale, Cengage Learning
 

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