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This form is used for reporting ownership of securities by beneficial owners as required by the Securities Exchange Act of 1934.
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Form 3 is a regulatory filing required by the Securities and Exchange Commission (SEC) that is used by certain individuals and entities, primarily insiders of publicly traded companies, to report their ownership of securities.
Individuals who are considered insiders, such as officers, directors, and beneficial owners of more than 10% of a company's equity securities, are required to file Form 3 to disclose their ownership.
To fill out Form 3, the insider must provide their name, address, and relationship to the company, as well as details about the securities they own, including the type and amount owned. The form must be filed electronically with the SEC.
The purpose of Form 3 is to promote transparency in the securities market by requiring insiders to disclose their ownership interests, which helps investors make informed decisions regarding the company.
Form 3 requires reporting information such as the insider's name, address, title or relationship to the issuer, and the number and class of securities owned. It must also indicate the date of the transaction or ownership acquisition.
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