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Opendoor Technologies | 3: Initial statement of beneficial ownership of securities-Officer Freiha Selim

Opendoor Technologies | 3: Initial statement of beneficial ownership of securities-Officer Freiha Selim

Opendoor Technologies | 3:首次持股声明-高管 Freiha Selim
美股SEC公告 ·  11/13 05:31

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Selim Freiha, the Chief Financial Officer of Opendoor Technologies Inc., has filed an Initial Statement of Beneficial Ownership of Securities with the SEC, as per Form 3 requirements. The document, dated November 4, 2024, indicates that Freiha does not beneficially own any securities in the company. The filing, which is a standard regulatory requirement for officers, directors, and certain beneficial owners, was signed by attorney-in-fact Carrie Wheeler on November 12, 2024. This formality is part of the compliance with Section 16(a) of the Securities Exchange Act of 1934 and is intended to provide transparency regarding the ownership stakes of key company insiders.
Selim Freiha, the Chief Financial Officer of Opendoor Technologies Inc., has filed an Initial Statement of Beneficial Ownership of Securities with the SEC, as per Form 3 requirements. The document, dated November 4, 2024, indicates that Freiha does not beneficially own any securities in the company. The filing, which is a standard regulatory requirement for officers, directors, and certain beneficial owners, was signed by attorney-in-fact Carrie Wheeler on November 12, 2024. This formality is part of the compliance with Section 16(a) of the Securities Exchange Act of 1934 and is intended to provide transparency regarding the ownership stakes of key company insiders.
Opendoor Technologies Inc.的致富金融(临时代码)Selim Freiha已根据《证券交易委员会要求的3号表格的初始有利所有权声明》提交文件。该文件日期为2024年11月4日,表明Freiha并不拥有公司的任何证券。这份备案文件是公司官员、董事以及特定有利所有者的标准监管要求,由代理律师Carrie Wheeler于2024年11月12日签署。这一手续是为了符合1934年证券交易法的第16(a)条款,并旨在提供关于公司重要内部人士所有权份额的透明度。
Opendoor Technologies Inc.的致富金融(临时代码)Selim Freiha已根据《证券交易委员会要求的3号表格的初始有利所有权声明》提交文件。该文件日期为2024年11月4日,表明Freiha并不拥有公司的任何证券。这份备案文件是公司官员、董事以及特定有利所有者的标准监管要求,由代理律师Carrie Wheeler于2024年11月12日签署。这一手续是为了符合1934年证券交易法的第16(a)条款,并旨在提供关于公司重要内部人士所有权份额的透明度。
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