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This document reports transactions with securities and derivatives of Marfrig Alimentos S.A. in compliance with CVM Instruction # 358/2002, detailing the trading activity and ownership percentages
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01
Obtain the official form for Marfrig Alimentos S.A. Management and Related Person's Negotiation of Securities.
02
Fill in your name and position within the company.
03
Provide details of the securities involved, including the type and quantity.
04
Specify the date and nature of the transaction.
05
Disclose any potential conflicts of interest related to the transaction.
06
Sign and date the form to certify the information is accurate.
07
Submit the completed form to the relevant compliance or regulatory department.

Who needs Marfrig Alimentos S.A. Management and Related Person´s Negotiation of Securities?

01
Managers and executives of Marfrig Alimentos S.A. who are involved in securities transactions.
02
Related persons such as family members of executives who may trade in Marfrig securities.
03
Compliance officers who ensure adherence to regulatory requirements regarding securities trading.
04
Investors who seek transparency in the trading activities of company insiders.
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Marfrig Alimentos S.A. Management and Related Person's Negotiation of Securities refers to the activities involving the buying and selling of company securities by key management personnel and related parties, which is subject to regulatory scrutiny to prevent insider trading and ensure transparency.
Individuals who are part of the management team, board members, and any related persons (such as family members or affiliates) involved in transactions of Marfrig Alimentos S.A. securities are required to file.
To fill out the negotiation reports, individuals must provide details on the type of securities traded, the date of transaction, number of shares bought or sold, the price per share, and confirmation of their status as a management member or related person.
The purpose is to promote transparency and accountability in financial markets by disclosing the trading activities of insiders, thus preventing insider trading and ensuring that all investors have equal access to information.
Reported information must include the identity of the trader, their relationship to the company, details of the transactions (including date, number of shares, and price), and any other relevant information that might affect investors' decisions.
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