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ERISA
The Nygaard Law Firm is investigating whether certain investment banks and broker dealers violated the Employee Retirement Income Security Act (ERISA) by failing to disclose their companies' exposure to subprime debt obligations to their employees who had invested all or a portion of their 401(k) plans in company stock. Several such cases have been filed on behalf of employees nationwide, including cases against Citigroup, Merrill Lynch and Morgan Stanley.
If you are a participant in one of these plans and would like more information on how to protect your financial interests, please complete the form below or call our office.
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