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This document serves as a notification for the proposed sale of securities under Rule 144 of the Securities Act of 1933. It outlines information related to the issuer, the person selling the securities, the type and quantity of securities being sold, and the relevant details of previous sales.
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Form 144 is a notice of proposed sale of securities that is filed with the Securities and Exchange Commission (SEC) to inform about sales of restricted or control securities.
Individuals who are affiliates of a company, such as executive officers, directors, and large shareholders, are required to file Form 144 when they plan to sell restricted or control securities.
To fill out Form 144, provide details such as the name of the seller, the name of the issuer, the number of shares to be sold, the date of the sale, and any other pertinent information according to the instructions provided by the SEC.
The purpose of Form 144 is to provide the SEC with information about planned sales of securities by affiliates, which helps to prevent market manipulation and provides transparency regarding insider transactions.
Form 144 requires the reporting of the name of the seller, the name of the issuer, the class and number of securities to be sold, the date of sale, and the nature of the proposed sale.
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