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Get the free 0001062993-22-012933. Form 4 filed on 2022-05-18 for the period ending 2022-05-13

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FORM 4 [ ] Check this box if no longer subject to Section 16. Form 4 or Form 5 obligations may continue. See Instruction 1(b).UNITED STATES SECURITIES AND EXCHANGE COMMISSION Washington, D.C. 20549
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To fill out form 0001062993-22-012933, follow these steps:
02
Start by entering your name and contact information in the designated fields at the top of the form.
03
In Section 1, provide the relevant details about the securities issuer, including their name, address, and CIK number.
04
Section 2 requires you to provide information about the type and nature of the transaction.
05
In Section 3, disclose any transactions related to equity swaps or similar agreements.
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Section 4 mandates the reporting of transactions involving derivative securities.
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Section 5 focuses on the reporting of transactions involving shares or units acquired through dividend reinvestment plans (DRIPs).
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Section 6 requires reporting of transactions involving stock splits or stock dividends.
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Finally, review the completed form for accuracy and completeness before submitting it as required by the regulatory authorities.
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It is recommended to consult the official instructions or seek professional assistance when filling out this form to ensure compliance with all applicable regulations.

Who needs 0001062993-22-012933 form 4 filed?

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Form 0001062993-22-012933 is typically required by individuals or entities who are considered insiders or affiliates of a securities issuer and have engaged in certain transactions involving that issuer's securities. This form is used to report these transactions to the appropriate regulatory authorities, providing transparency and compliance with relevant regulations. It is commonly required by directors, officers, and certain large shareholders of publicly traded companies.
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Form 4 is a document required by the SEC that insiders must file to report their transactions in the securities of an issuer.
Insiders, including officers, directors, and beneficial owners of more than 10% of a company's stock, are required to file Form 4.
Form 4 must include details such as the insider's information, the date of the transaction, the type of transaction, and the amount of securities involved.
The purpose of Form 4 is to provide transparency and inform the public about the trading activities of insiders in a company.
Information that must be reported includes the insider’s name, the relationship to the company, date of the transaction, number of shares bought or sold, and the price at which the transaction occurred.
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