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This document is a form filed with the Securities and Exchange Commission that details the changes in beneficial ownership of securities for a specific reporting person. It includes information about the reporting owner, issuer, and transaction details, complying with the requirements of the Securities Exchange Act of 1934.
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Form 4 is a document used by insiders of publicly traded companies to report their trades of the company's securities to the Securities and Exchange Commission (SEC).
Form 4 must be filed by officers, directors, and beneficial owners of more than 10% of a company's equity securities.
To fill out Form 4, the filer must provide their name, relationship to the issuer, the date of the transaction, the type of security involved, the transaction code, and the amount of securities bought or sold.
The purpose of Form 4 is to provide transparency and ensure that the trading activities of company insiders are disclosed to the public in a timely manner.
Form 4 must report the name of the insider, the relationship to the issuer, details of the transaction (date, nature, and amount of securities), and any other relevant information regarding the transaction.
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