The
SEC isn't yet through with two former executives at
Columbia Funds Distributor.
Last Friday the Commission
refiled an enforcement action against
James Tambone and
Robert Hussey that was originally lodged in February 2005 and dismissed without prejudice in January of this year. The complaint alleges the two violated their funds' prospectuses by making or approving short-term trading arrangements with at least eight preferred customers.
 
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