Squitieri & Fearon, LLP is investigating potential claims against U.S. Bank on behalf of participants in its 401(k) plan and other retirement plans who invested in U.S. Bank’s securities during the period from September 30, 2007 through December 31, 2010.
We are investigating claims that U.S. Bank and some of its officers and directors misled investors about the risks of investing 100% of their assets in equity funds. This unduly risky and undiversified investment strategy exposed Plan members to a greater risk of loss and ultimately resulted in losses of more than $1 billion dollars.
Squitieri & Fearon, LLP has significant experience prosecuting class actions on behalf of investors and shareholders.
If you wish to discuss your rights in connection with the U.S. Bank securities or have any questions concerning this notice or your rights or interest, please contact Stephen J. Fearon, Jr. by e-mail at stephen@sfclasslaw.com or by phone at (212) 421-6492. You can also complete the following form, and someone from the firm will contact you.
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