StacksVerified U.S. regulatory reference

17 CFR §229.1008

Verified against eCFR.gov as of June 20, 2026View official text on eCFR.gov
  1. (a)Securities ownership. State the aggregate number and percentage of subject securities that are beneficially owned by each person named in response to Item 1003 of Regulation M-A (§ 229.1003) and by each associate and majority-owned subsidiary of those persons. Give the name and address of any associate or subsidiary.
  2. (b)Securities transactions. Describe any transaction in the subject securities during the past 60 days. The description of transactions required must include, but not necessarily be limited to:
    1. (1)The identity of the persons specified in the Instruction to this section who effected the transaction;
    2. (2)The date of the transaction;
    3. (3)The amount of securities involved;
    4. (4)The price per share; and
    5. (5)Where and how the transaction was effected.