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Coinbase | 3: Initial statement of beneficial ownership of securities-Director Lehane Chris

Coinbase | 3: Initial statement of beneficial ownership of securities-Director Lehane Chris

Coinbase | 3:首次持股聲明-董事 Lehane Chris
美股SEC公告 ·  07/26 16:21
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Coinbase Global, Inc. executive Chris Lehane, who serves as a Director of the company, filed an Initial Statement of Beneficial Ownership of Securities with the SEC on July 24, 2024. The Form 3 filing, a requirement for individuals who are deemed insiders of a publicly-traded company, indicates that Lehane does not beneficially own any securities in the company at the time of the filing. The document was signed by Lehane's attorney-in-fact, Lailey Rezai, on July 26, 2024. This filing is part of the regulatory requirements under Section 16(a) of the Securities Exchange Act of 1934, which mandates that directors, officers, or significant shareholders of a company must report their securities holdings and transactions to the SEC.
Coinbase Global, Inc. executive Chris Lehane, who serves as a Director of the company, filed an Initial Statement of Beneficial Ownership of Securities with the SEC on July 24, 2024. The Form 3 filing, a requirement for individuals who are deemed insiders of a publicly-traded company, indicates that Lehane does not beneficially own any securities in the company at the time of the filing. The document was signed by Lehane's attorney-in-fact, Lailey Rezai, on July 26, 2024. This filing is part of the regulatory requirements under Section 16(a) of the Securities Exchange Act of 1934, which mandates that directors, officers, or significant shareholders of a company must report their securities holdings and transactions to the SEC.
Coinbase全球貨幣公司高管克里斯·勒黑因擔任公司董事,於2024年7月24日向美國證券交易委員會提交了《初始有利權益證明書》。該表格3申報要求被視爲公開交易公司的內部人員進行申報,表明勒黑在提交表格時沒有對該公司擁有任何證券的有利權益。該文件於2024年7月26日由勒黑的代理律師萊利·瑞扎依簽名。此申報是證券交易法1934年第16(a)條款規定的監管要求的一部分,該條款規定公司的董事,高管或重要股東必須向美國證券交易委員會報告其證券持股和交易。
Coinbase全球貨幣公司高管克里斯·勒黑因擔任公司董事,於2024年7月24日向美國證券交易委員會提交了《初始有利權益證明書》。該表格3申報要求被視爲公開交易公司的內部人員進行申報,表明勒黑在提交表格時沒有對該公司擁有任何證券的有利權益。該文件於2024年7月26日由勒黑的代理律師萊利·瑞扎依簽名。此申報是證券交易法1934年第16(a)條款規定的監管要求的一部分,該條款規定公司的董事,高管或重要股東必須向美國證券交易委員會報告其證券持股和交易。
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