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Citigroup | 3: Initial statement of beneficial ownership of securities-Officer RYAN TIMOTHY

Citigroup | 3: Initial statement of beneficial ownership of securities-Officer RYAN TIMOTHY

花旗集團 | 3:首次持股聲明-高管 RYAN TIMOTHY
美股sec公告 ·  06/04 16:04
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Timothy Ryan, the Head of Technology & Business Enablement at Citigroup Inc., has filed an Initial Statement of Beneficial Ownership of Securities with the SEC, as per Form 3 requirements. The document, submitted on June 1, 2024, indicates that no securities are beneficially owned by Ryan. The filing, which is a standard regulatory requirement for corporate officers, was signed by Ryan's attorney-in-fact, Joseph B. Wollard, and was completed on June 4, 2024. This formality is part of the compliance with Section 16(a) of the Securities Exchange Act of 1934, which mandates timely disclosure of changes in beneficial ownership of securities by directors, officers, and principal shareholders.
Timothy Ryan, the Head of Technology & Business Enablement at Citigroup Inc., has filed an Initial Statement of Beneficial Ownership of Securities with the SEC, as per Form 3 requirements. The document, submitted on June 1, 2024, indicates that no securities are beneficially owned by Ryan. The filing, which is a standard regulatory requirement for corporate officers, was signed by Ryan's attorney-in-fact, Joseph B. Wollard, and was completed on June 4, 2024. This formality is part of the compliance with Section 16(a) of the Securities Exchange Act of 1934, which mandates timely disclosure of changes in beneficial ownership of securities by directors, officers, and principal shareholders.
Citigroup Inc.的業務與科技推動負責人Timothy Ryan已按照Form 3的要求向美國證券交易委員會提交了一份證券有益所有權的初始聲明,文件於2024年6月1日提交,顯示Ryan沒有任何證券的有益所有權。該申報是公司高管標準監管要求的一部分,由Ryan的代理律師Joseph B. Wollard簽署,在2024年6月4日完成。這種形式是遵守1934年證券交易法第16(a)條的規定,該條規定要求董事、主管和主要股東及時披露證券的有益所有權變動。
Citigroup Inc.的業務與科技推動負責人Timothy Ryan已按照Form 3的要求向美國證券交易委員會提交了一份證券有益所有權的初始聲明,文件於2024年6月1日提交,顯示Ryan沒有任何證券的有益所有權。該申報是公司高管標準監管要求的一部分,由Ryan的代理律師Joseph B. Wollard簽署,在2024年6月4日完成。這種形式是遵守1934年證券交易法第16(a)條的規定,該條規定要求董事、主管和主要股東及時披露證券的有益所有權變動。
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