Stock & Option Solutions

Unlocking the Secrets to Section 16 Compliance

Catch up on our recent panel discussion! This insightful session dives deep into the complexities of Section 16 compliance, where company insiders are required to report their affiliations, transactions, and ownership changes to the SEC through Forms 3, 4, and 5. Our expert panelists share valuable insights, best practices, and actionable strategies, from minimizing compliance risks to addressing potential legal consequences—all to help protect your company’s integrity and ensure regulatory adherence.

Panelists include:

  • Christian Bell – Stock & Option Solutions
  • Trevin Rard – Remitly
  • Alan Dye – Hogan Lovells

Don’t miss this essential resource for navigating Section 16 compliance!
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