In Re Citigroup Inc. Securities Litigation

753 F. Supp. 2d 206, 2010 U.S. Dist. LEXIS 119274, 2010 WL 4484650
CourtDistrict Court, S.D. New York
DecidedNovember 9, 2010
Docket09 md 2070 (SHS), 07 Civ. 9901 (SHS), 07 Civ. 10258 (SHS), 08 Civ. 135 (SHS), 08 Civ. 136 (SHS)
StatusPublished
Cited by46 cases

This text of 753 F. Supp. 2d 206 (In Re Citigroup Inc. Securities Litigation) is published on Counsel Stack Legal Research, covering District Court, S.D. New York primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
In Re Citigroup Inc. Securities Litigation, 753 F. Supp. 2d 206, 2010 U.S. Dist. LEXIS 119274, 2010 WL 4484650 (S.D.N.Y. 2010).

Opinion

*210 OPINION & ORDER

SIDNEY H. STEIN, District Judge.

I. BACKGROUND...........................................................212

A. Parties ...............................................................213

B. Financial Instruments..................................................214

1. Subprime and Alt-A Mortgages......................................214

2. Residential-Mortgage-Backed Securities..............................214

3. Collateralized Debt Obligations.......................................215

4. Structured Investment Vehicles......................................215

*211 5. Leveraged Loans and Collateralized Loan Obligations...................216

6. Auction Rate Securities .............................................216

C. CDO Allegations.......................................................217

1. Pre-November 4, 2007 Statements....................................217

a. Alleged Misleading Statements and Omissions about the Extent of Citigroup’s CDO Exposure ..................................217

i. Citigroup Discloses the Value of Its “CDO-Type Transactions”............................................217

ii. Citigroup Discloses Its “Maximum Exposure to Loss” from VIEs ...................................................218

iii. Citigroup Discloses an “Ownership Interest” in “Certain VIEs”...................................................218

iv. Citigroup States that It Has “Limited Continuing Involvement” with CDOs..................................219

b. Alleged Misleading Statements about the Nature of CDO Exposure....................................................219

i. Citigroup States that Securitizations Reduce Its “Credit Exposure”...............................................220

ii. Citigroup Presents Its “CDO-Type Transactions” as Distinct from Its “Mortgage-Related Transactions”...........220

iii. Citigroup Maintains its CDOs Contained Diverse Assets to

Diversify Risk ...........................................221

c. Alleged CD O-Related Accounting Violations.......................221

i. Reporting CDO Exposure...................................221

ii. Consolidating Commercial Paper CDOs .......................222

iii. Valuing CDO Holdings......................................222

2. November 4, 2007 and Later Statements ..............................223

3. Allegations of Fraudulent Intent with Respect to CDO-Related Misstatements and Omissions......................................224

a. Citigroup Underwrote the CDOs It Owned.........................224

b. The Market Believed that CDOs Were at Risk......................225

c. Citigroup Analysts Express Concern About Subprime Mortgages and CDOs...................................................225

d. Citigroup Creates CDOs to Buy Unwanted CDOs...................226

e. Citigroup Creates a Special Entity to Assume the Risks of Liquidity Puts................................................226

f. Citigroup Makes Collateral Demands on Mortgage Originators.......226

g. Citigroup’s CDO Prospectuses Warn of Risks ......................227

h. Citigroup Purchases Insurance for Its CDO Holdings ...............227

i. Citigroup Executives Hold Daily Risk Exposure Sessions............227

j. Citigroup Makes a Margin Call on Basis Capital Funds..............227

D. A1L-A RMBS Allegations................................................227

E. SIV Allegations........................................................228

F. Mortgage Allegations...................................................229

1. Alleged Mortgage-Related Misstatements.............................229

2. Alleged Mortgage-Related GAAP Violations...........................230

3. Allegations of Fraudulent Intent with Respect to Mortgage-Related Misstatements and Omissions......................................230

G. ARS Allegations.......................................................230

H. Leveraged Loan and CLO Allegations....................................231

I. Solvency Allegations....................................................231 II. DISCUSSION.............................................................231

1. Standard of Review.................................................231

2. Section 10(b) Claims...............................................,231

a. Misstatements or Omissions of Material Fact.......................232

b. Scienter Standard ..............................................232

c. Loss Causation Standard........................................234

3. Section 20(a) Claims................................................234

*212 B. CDO Allegations.......................................................234

1. Pre-November 4, 2007 Statements....................................235

a. Alleged misstatements and omissions..............................235

b. Materiality and Loss Causation...................................236

c. Scienter.......................................................236

i. Citigroup..................................................236

ii. Individual Defendants.......................................238

2. November 4, 2007 and Later Statements ..............................239

a. Alleged Misstatements and Omissions.............................239

b. Scienter.......................................................240

C. Alt-A RMBS Allegations................................................241

1. Alleged Misstatements and Omissions Concerning the Extent of Citigroup’s AlN-A RMBS Exposure.................................242

2. Alleged Misstatements and Omissions after the April 18, 2008

Disclosure of Citigroup’s A1N-A RMBS Holdings......................242

D. SIV Allegations........................................................243

1. Citigroup’s SIV Exposure ...........................................243

Free access — add to your briefcase to read the full text and ask questions with AI

Related

Cite This Page — Counsel Stack

Bluebook (online)
753 F. Supp. 2d 206, 2010 U.S. Dist. LEXIS 119274, 2010 WL 4484650, Counsel Stack Legal Research, https://law.counselstack.com/opinion/in-re-citigroup-inc-securities-litigation-nysd-2010.