Form 10-K405

From Wikipedia, the free encyclopedia

A form filed with the Securities and Exchange Commission (SEC) that indicates that an officer or director of a public company failed to file a Form 4 (or related Form 3 or Form 5) on time, in violation of Section 16 - meaning that they did not disclose their trading activities within the required time period.

[edit] Resources

SEC Homepage

SECFilings.com