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Re: shajandr post# 117316

Sunday, 01/29/2017 10:55:52 PM

Sunday, January 29, 2017 10:55:52 PM

Post# of 233768
It may be self-dealing and a breach of fiduciary duty, depending upon the facts, butt that's nott a province for regulators - that's a private cause of action in a shareholders' derivative suit against that management/custodian.

I'm not sure about that. Anything involving the sale of securities is the SEC's business, even if they're not securities of a public company.

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