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This document serves to notify that Belloc Pty Ltd has ceased to be a substantial holder of voting securities in Capital Mining Limited as per the requirements of the Corporations Act 2001.
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Anyone who has been instructed by a government agency to fill out Form 605 as part of a legal requirement.
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FCC Form 605 is a multi-part form comprising a main form and several schedules. Each application or amendment must contain only one Main Form (Pages 1 and 2). The purpose of the Main Form is to obtain information sufficient to identify the filer and establish the filer's basic eligibility and qualifications.
Form FCC 605, Schedule B, is a supplementary schedule for use with the FCC Quick-Form Application for Authorization in the Ship, Aircraft, Amateur, Restricted and Commercial Operator, and the General Mobile Radio Services, FCC 605 Main Form. This schedule is used to supply information for Ship Radio Service (Part 80).
A Schedule B IRS form reports taxable interest and dividend income received during the tax year. Most taxpayers only need to file a Schedule B if they receive more than $1,500 of taxable interest or dividends.
Schedule B is for individuals who earn interest and ordinary dividends. This includes taxpayers reporting income from savings accounts, investments, or dividends from stocks. Taxpayers must submit this form to the IRS when filing their annual income tax returns.

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Form 605 is a regulatory form used by certain entities to provide information regarding transactions related to securities.
Entities that engage in certain securities transactions, typically involving broker-dealers and investment advisors, are required to file Form 605.
To fill out Form 605, entities must provide detailed information regarding the transactions, including the involved parties, transaction amounts, and dates, ensuring all data is accurate and complete.
The purpose of Form 605 is to ensure transparency and compliance within the securities market by reporting relevant transaction details to regulatory authorities.
Form 605 requires the reporting of transaction details including the type of security, transaction date, amount, parties involved, and any other relevant information that helps regulators monitor compliance.
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