TWENTY SEVEN TRUST v. REALTY GROWTH INVESTORS

Civ. A. No. M-81-2728.

533 F.Supp. 1028 (1982)

The TWENTY SEVEN TRUST v. REALTY GROWTH INVESTORS and RGI Holding Company, Inc.

United States District Court, D. Maryland.

February 22, 1982.


Attorney(s) appearing for the Case

William E. Taylor, III, James P. Golden, Barry Genkin, and Blank, Rome, Comisky & McCauley, Philadelphia, Pa., Gerard P. Martin, H. Russell Smouse, and Melnicove, Kaufman, Weiner & Smouse, Baltimore, Md., for plaintiff.

Donald E. Sharpe, Frank R. Goldstein, Robert J. Mathias, and Piper & Marbury, Baltimore, Md., for defendants.


MEMORANDUM AND ORDER

JAMES R. MILLER, Jr., District Judge.

The plaintiff, the Twenty Seven Trust (Twenty Seven), brought this action against Realty Growth Investors (Realty) and RGI Holding Company, Inc. (RGI) on October 22, 1981. Twenty Seven's four-count complaint alleged violations of the federal securities laws and Maryland common law in connection with RGI's attempt to acquire all of the shares of beneficial interest in Realty.1

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