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3: Initial statement of beneficial ownership of securities- SBI Securities Co., Ltd.

3: Initial statement of beneficial ownership of securities- SBI Securities Co., Ltd.

3:首次持股声明- SBI Securities Co., Ltd.
美股SEC公告 ·  10/03 21:36

Moomoo AI 已提取核心信息

SBI Securities Co., Ltd. has filed an SEC Form 3, indicating a change in beneficial ownership of MicroAlgo Inc. securities. As of September 30, 2024, SBI Securities reported an increase in its beneficial ownership to over 10% of MicroAlgo's outstanding common stock, attributed to a securities borrowing transaction. The filing, dated October 3, 2024, clarifies that SBI Securities disclaims beneficial ownership of the reported securities except to the extent of its pecuniary interest. This disclosure is in compliance with Section 16(a) of the Securities Exchange Act of 1934 and is a routine regulatory requirement for entities that reach a certain threshold of ownership in a company's securities.
SBI Securities Co., Ltd. has filed an SEC Form 3, indicating a change in beneficial ownership of MicroAlgo Inc. securities. As of September 30, 2024, SBI Securities reported an increase in its beneficial ownership to over 10% of MicroAlgo's outstanding common stock, attributed to a securities borrowing transaction. The filing, dated October 3, 2024, clarifies that SBI Securities disclaims beneficial ownership of the reported securities except to the extent of its pecuniary interest. This disclosure is in compliance with Section 16(a) of the Securities Exchange Act of 1934 and is a routine regulatory requirement for entities that reach a certain threshold of ownership in a company's securities.
SBI证券股份有限公司已提交SEC表格3,表明对MicroAlgo股票的受益所有权发生变化。截至2024年9月30日,SBI证券报告其受益所有权增至MicroAlgo未流通普通股的10%以上,归因于证券借贷交易。日期为2024年10月3日的申报澄清,SBI证券除了其金钱利益范围之外,不声明对申报证券的受益所有权。此披露符合1934年证券交易法第16(a)条的规定,对于达到一定股权持有量的实体来说,这是一项例行监管要求。
SBI证券股份有限公司已提交SEC表格3,表明对MicroAlgo股票的受益所有权发生变化。截至2024年9月30日,SBI证券报告其受益所有权增至MicroAlgo未流通普通股的10%以上,归因于证券借贷交易。日期为2024年10月3日的申报澄清,SBI证券除了其金钱利益范围之外,不声明对申报证券的受益所有权。此披露符合1934年证券交易法第16(a)条的规定,对于达到一定股权持有量的实体来说,这是一项例行监管要求。
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