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This document is used for reporting changes in the beneficial ownership of securities by certain individuals who are subject to Section 16 of the Securities Exchange Act of 1934.
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Form 4 is a regulatory document required by the Securities and Exchange Commission (SEC) for reporting changes in ownership of securities by corporate insiders.
Corporate insiders, including directors, officers, and employees who hold more than 10% of a company's shares, are required to file Form 4.
To fill out Form 4, insiders must provide details of their transactions, including the date of the transaction, the number of shares bought or sold, the price per share, and their relationship to the company.
The purpose of Form 4 is to provide transparency regarding insider trading activities and to ensure that the public has access to timely information about changes in ownership of a company's securities.
Form 4 must report the insider's name, relationship to the company, transaction date, the amount of securities involved, the transaction price, and any other relevant details regarding the ownership change.
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