Oh my, someone is mighty hiny hurt over the truth, again. The SEC’s Enforcement Division alleges that Clare willfully violated Section 15(a) of the Securities Exchange Act of 1934. The matter will be scheduled for a public hearing before an administrative law judge, who will prepare an initial decision stating what, if any, remedial actions are appropriate. https://www.sec.gov/litigation/admin/2016/34-77373-s.pdf
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