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This form is used to report the initial beneficial ownership of securities by an insider under the Securities Exchange Act of 1934. It includes information about the reporting person\'s relationship to the issuer, the amounts of securities owned, and the nature of that ownership.
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Form 3 is a regulatory form used by certain companies to report insider holdings and transactions, typically associated with the Securities and Exchange Commission (SEC) in the United States.
Form 3 must be filed by insiders of a company, which includes executive officers, directors, and beneficial owners of more than 10% of a registered class of equity securities.
To fill out Form 3, insiders need to provide information about their relationship to the company, details of their shareholdings, and any transactions related to the company's securities.
The purpose of Form 3 is to provide transparency regarding the ownership of a company's securities by its insiders, helping to prevent fraud and ensure market integrity.
Form 3 must report the insider's name, their relationship to the company, the number of shares owned, the type of securities, and any other relevant ownership details.
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