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SEC Form 4 FORM 4 UNITED STATES SECURITIES AND EXCHANGE COMMISSION Check this box if no longer subject to Section 16. Form 4 or Form 5 obligations may continue. See Instruction 1(b). OMB Number: hours
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01
Read the instructions carefully.
02
Gather all the necessary information and documents.
03
Start with the basic information section and provide accurate details about the individual filing the form.
04
Move on to the security ownership section and specify the type of ownership being reported.
05
Complete the transaction information section and enter all relevant details about the acquisition or disposition of securities.
06
Provide additional information, if required, in the remarks section.
07
Review the completed form for accuracy and completeness before submitting it.
08
Submit the form electronically or by mail as per the instructions provided.

Who needs form 4 - brown-forman?

01
Any person who is a director, officer, or beneficial owner of more than 10% of a registered class of equity securities of Brown-Forman Corporation needs to file form 4.
02
Form 4 must also be filed by any person who directly or indirectly acquires or disposes of such securities.
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Form 4 - brown-forman is a form filed with the Securities and Exchange Commission (SEC) to report insider transactions such as stock purchases or sales made by officers, directors, or beneficial owners of a company's securities.
Officers, directors, and beneficial owners of a company's securities are required to file form 4 - brown-forman when they engage in transactions involving the company's stock.
Form 4 - brown-forman must be filled out electronically through the SEC's EDGAR filing system. The form requires information about the insider's identity, the details of the transaction, and any beneficial ownership of the company's securities.
The purpose of form 4 - brown-forman is to provide transparency and disclosure of insider transactions in publicly traded companies, allowing investors to make informed decisions.
Form 4 - brown-forman requires the reporting of the insider's identity, the date of the transaction, a description of the securities involved, the nature of the transaction, and any changes in beneficial ownership.
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