Site Members can sign up for company wide alerts
Lawsuit Overview
<p>The Complaint alleges that WFI and certain officers and directors violated Sections 10(b), 14(a) and 20(a) of the Securities Exchange Act of 1934 by making false and misleading statements and omissions concerning WFI’s improper and undisclosed practice of backdating options conferred on certain executives, which made it appear that such options were issued upon dates when the...
You must register (for free) or login to view the entire case.