Investor Protection Disclosure Obligations Fraudulent Practices Investor Rights Fraudulent Misrepresentation Securities Exchange Act Class Action Lawsuits Disclosure Requirements False Statements Litigation Financial Reporting Compliance Insider Trading Fraud SEC Filings Legal Proceedings Enforcement Actions Litigation Process Shareholder Rights Federal Investigations Misrepresentation Insider Trading Laws Fraudulent Statements Financial Disclosure Consumer Protection Deceptive Conduct Diversity Regulations Diversity Policies SEC Enforcement Hush Money False Claims Act Legal Action Foreign Ownership Legal Representation Investor Class Actions ASX Compliance Subpoenas Legal Settlements Legal Claims Securities and Exchange Commission Federal Laws Corporate Governance SEBI Regulations Financial Regulation Financial Crimes Investor Relations Market Manipulation Market Integrity Initial Public Offerings Fraud Cases Takeover Defense SEC Investigations Securities Exchange Act of 1934 Legal Expenses Misleading Statements Financial Settlements Investor Advocacy Lockup Agreements Accounting Violations Lock-Up Periods Trade Compliance Securities Act of 1933 Public Companies Fraud Enforcement Federal Securities Laws Court Rulings Legal Disclaimers Investigations Whistleblower Protection Shareholder Litigation Stock Manipulation Delisting Stock Transactions
The club has filed formal complaints with Consob, followed by a report to the public prosecutor, over what it calls unfounded information aimed at disrupting its market standing.