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American Airlines | 3: Initial statement of beneficial ownership of securities-Director Ungerleider Howard I

American Airlines | 3: Initial statement of beneficial ownership of securities-Director Ungerleider Howard I

美国航空 | 3:首次持股声明-董事 Ungerleider Howard I
美股SEC公告 ·  08/01 16:52

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Howard I Ungerleider, a director at American Airlines Group Inc, filed an Initial Statement of Beneficial Ownership of Securities with the SEC on July 30, 2024, as per Form 3 requirements. The filing, which is a routine disclosure for directors and significant shareholders, indicates that Ungerleider does not beneficially own any securities in the company. The form was filed individually by Ungerleider and was signed with power of attorney by Priya R. Aiyar on August 1, 2024. This filing is in accordance with Section 16(a) of the Securities Exchange Act of 1934 and is a standard procedure for corporate insiders to report their securities holdings in the company.
Howard I Ungerleider, a director at American Airlines Group Inc, filed an Initial Statement of Beneficial Ownership of Securities with the SEC on July 30, 2024, as per Form 3 requirements. The filing, which is a routine disclosure for directors and significant shareholders, indicates that Ungerleider does not beneficially own any securities in the company. The form was filed individually by Ungerleider and was signed with power of attorney by Priya R. Aiyar on August 1, 2024. This filing is in accordance with Section 16(a) of the Securities Exchange Act of 1934 and is a standard procedure for corporate insiders to report their securities holdings in the company.
美国航空集团公司的董事Howard I Ungerleider于2024年7月30日根据3号表格的要求向SEC提交了关于证券的初步控制权利声明。这份文件对董事和主要股东来说是例行披露,表明Ungerleider在该公司没有实际拥有任何证券。该表格是由Ungerleider个人提交,并由Priya R. Aiyar于2024年8月1日以授权委托书签署的。此次提交是根据1934年证券交易所法案第16(a)条的规定进行的,是公司内幕人士报告其在公司中持有的证券的标准程序。
美国航空集团公司的董事Howard I Ungerleider于2024年7月30日根据3号表格的要求向SEC提交了关于证券的初步控制权利声明。这份文件对董事和主要股东来说是例行披露,表明Ungerleider在该公司没有实际拥有任何证券。该表格是由Ungerleider个人提交,并由Priya R. Aiyar于2024年8月1日以授权委托书签署的。此次提交是根据1934年证券交易所法案第16(a)条的规定进行的,是公司内幕人士报告其在公司中持有的证券的标准程序。
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