Lundin Law PC announces a class action lawsuit has been filed against
Cigna Corp. (“Cigna” or the “Company”) (NYSE: CI) concerning possible
violations of federal securities laws between February 27, 2014 and
January 21, 2016. Investors who purchased or otherwise acquired shares
during the Class Period should contact the Firm in advance of the April
6, 2016, lead plaintiff motion deadline.
For more information or to participate, please
contact Brian Lundin, Esquire, of Lundin Law PC, at 888-713-1033, or
via e-mail at brian@lundinlawpc.com.
No class has been certified in the above action. Until a class is
certified, you are not considered represented by an attorney. You may
also choose to do nothing and be an absent class member.
According to the complaint, the Company made misleading statements
and/or failed to disclose that: (1) its appeals and grievances
procedures were not compliant with federal standards; and (2) Cigna's
noncompliance with federal standards posed a serious threat to the
health and safety of Medicare beneficiaries.
Lundin Law PC was created by Brian Lundin, a securities litigator based
in Los Angeles.
This press release may be considered Attorney Advertising in some
jurisdictions under the applicable law and ethical rules.
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