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GameStop | 3: Initial statement of beneficial ownership of securities-Director Turner Nat

GameStop | 3: Initial statement of beneficial ownership of securities-Director Turner Nat

游戏驿站 | 3:首次持股声明-董事 Turner Nat
美股SEC公告 ·  12/06 08:54

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On 11/18/2024, Nat Turner, a director and 10% owner of GameStop, filed an initial statement of beneficial ownership with the SEC. The filing, known as Form 3, is required under Section 16(a) of the Securities Exchange Act of 1934. This document discloses that Turner does not currently own any securities, either directly or indirectly, in GameStop.The filing was submitted by Daniel Moore, acting as Attorney-in-Fact for Turner, and was signed on 12/05/2024. This statement is part of the regulatory requirements for individuals holding significant positions in publicly traded companies, ensuring transparency in ownership and potential conflicts of interest. No derivative securities are reported in this filing.
On 11/18/2024, Nat Turner, a director and 10% owner of GameStop, filed an initial statement of beneficial ownership with the SEC. The filing, known as Form 3, is required under Section 16(a) of the Securities Exchange Act of 1934. This document discloses that Turner does not currently own any securities, either directly or indirectly, in GameStop.The filing was submitted by Daniel Moore, acting as Attorney-in-Fact for Turner, and was signed on 12/05/2024. This statement is part of the regulatory requirements for individuals holding significant positions in publicly traded companies, ensuring transparency in ownership and potential conflicts of interest. No derivative securities are reported in this filing.
2024年11月18日,GameStop的董事兼10%所有者纳特·特纳向美国证券交易委员会提交了初步的实益拥有权声明。该文件被称为表格3,是1934年《证券交易法》第16(a)条所要求的。本文件披露,特纳目前在GameStop中不直接或间接拥有任何证券。该文件由担任特纳事实律师的丹尼尔·摩尔提交,并于2024年5月12日签署。该声明是对在上市公司持有重要职位的个人的监管要求的一部分,旨在确保所有权的透明度和潜在的利益冲突。本文件中未报告任何衍生证券。
2024年11月18日,GameStop的董事兼10%所有者纳特·特纳向美国证券交易委员会提交了初步的实益拥有权声明。该文件被称为表格3,是1934年《证券交易法》第16(a)条所要求的。本文件披露,特纳目前在GameStop中不直接或间接拥有任何证券。该文件由担任特纳事实律师的丹尼尔·摩尔提交,并于2024年5月12日签署。该声明是对在上市公司持有重要职位的个人的监管要求的一部分,旨在确保所有权的透明度和潜在的利益冲突。本文件中未报告任何衍生证券。
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