高盛及其一名雇员在销售一款与次级债表现挂钩的组合产品时,未向投资者披露一家对冲基金公司(鲍尔森基金公司)在此交易中有做空行为,因而遭到起诉。
The bank and an employee were accused of failing to disclose that a hedge fund that had influenced the composition of a complex mortgage-debt transaction was also shorting it .