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This document is a filing made to the United States Securities and Exchange Commission, reporting changes in beneficial ownership of securities as required by Section 16(a) of the Securities Exchange Act. It details transactions involving common stock and warrants of U.S. Gold Corp.
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Form 4 is a document that insiders of publicly traded companies file with the Securities and Exchange Commission (SEC) to report changes in their ownership of the company's securities.
Insiders, including officers, directors, and significant shareholders of publicly traded companies, are required to file Form 4.
Form 4 requires insiders to provide details about their ownership, including the date of the transaction, the type of security, the transaction amount, the price, and whether the transaction was open market or a private sale.
The purpose of Form 4 is to provide transparency and disclose insider trading activities to investors and the public, ensuring that there is no unfair advantage based on non-public information.
Form 4 must report the insider's name, relationship to the company, transaction date, type of security, number of shares bought or sold, price per share, and the nature of the ownership.
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