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Technology Stocks : CCAI - A new dog with the same fleas? -- Ignore unavailable to you. Want to Upgrade?


To: Jimbo Cobb who wrote (22)2/5/1999 3:54:00 PM
From: Ms. Baby Boomer  Read Replies (1) | Respond to of 28
 
[Talk : Communications : CAWS - Wireless Cable (New and Improved)]

FYI Symbol Change > CWSS a/o 2/5

Link @ Yahoo: biz.yahoo.com

Hello everybody long time no talk...coming back from the dead? Time to update this thread.

Happy trading & investing....



To: Jimbo Cobb who wrote (22)2/10/1999 2:42:00 PM
From: Zorro  Read Replies (1) | Respond to of 28
 
CLASS ACTION UPDATE AS OF 11/13/98 (as reported in 10-Q SEC filing)

NOTE 4. LITIGATION

IN RE CAI WIRELESS SYSTEMS INC. SECURITIES LITIGATION. CAI has been named in six class action lawsuits alleging various violations of the federal securities laws filed in the United States District Court for the Northern District of New York. The actions were consolidated into one lawsuit entitled IN RE CAI WIRELESS SYSTEMS, INC. SECURITIES LITIGATION (96-CV-1857) (the "Securities Lawsuit"), which is currently pending in the Northern District of New York. The amended, consolidated complaint, which names the Company, Jared E. Abbruzzese, chairman and chief executive officer of the Company, John J. Prisco, president, chief operating officer and a director of the Company, and Alan Sonnenberg, the former president of the Company, as defendants, alleges a variety of violations of the anti-fraud provisions of the Federal securities laws by CAI arising out of its alleged disclosure (or alleged omission from disclosure) regarding its Internet and other flexible use of MMDS spectrum, as well as its business relationship with Bell Atlantic and NYNEX. Specifically, the complaint alleges that defendants violated Sections 10(b) and 20(a) of the Securities Exchange Act of 1934, as amended (the "Exchange Act") and Rule 10b-5 promulgated under the Exchange Act during the specified Class Period (May 23, 1996 through December 6, 1996).

The Company has notified the carrier of its Directors' and Officers' Liability insurance policy, which is intended to cover not only the Company's officers and directors, but also the Company, itself, against claims such as those made in the Securities Lawsuit. The policy covers up to $5,000,000 of any covered liability, subject to a retention amount of $500,000.

The Securities Lawsuit is in its preliminary stages. A scheduling conference was held on June 3, 1997, at which the briefing schedule for defendants' motion to dismiss was agreed upon among the parties. The defendants' motion to dismiss was heard by the Northern District of New York on October 17, 1997 and is still pending. While the motion is pending, all other deadlines affecting motions and discovery have been postponed.