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Chan Chun Sing's Form 4 filing

Click Holdings Ltd. (CLIK) · filed Sep 11, 2026

Accession no.
0001493152-26-042298
Filed
Sep 11, 2026, 7:30 AM ET
Trade date
Sep 9-10, 2026
Filing delay
2 days
Rule 10b5-1 plan
Not checked

This filing lists 11 non-derivative transactions and 0 derivative transactions. Open-market purchases total $49.9K. It was filed 2 days after the trade.

Reporting owners

A Form 4 can have several reporting owners, such as a person and a fund they control. Trade tables show the first one.

Reporting owners on this filing
OwnerRelationship to the company
Chan Chun SingCIK 0002121160Director, Officer (Chief Executive Officer), 10% Owner

Non-derivative securities (Table I)

Acquisitions and disposals of common stock and similar shares, one row per line on the filing.

Non-derivative transactions
Trade dateSecurityTransactionSharesPriceValueShares afterOwnershipFlags
Sep 9, 2026Class A Ordinary SharesPPurchaseAcquired+5,000$1.35+$6,7504,611,000Direct
Sep 9, 2026Class A Ordinary SharesPPurchaseAcquired+2,500$1.24+$3,1004,613,500Direct
Sep 10, 2026Class A Ordinary SharesPPurchaseAcquired+6,000$1.12+$6,7204,619,500Direct
Sep 10, 2026Class A Ordinary SharesPPurchaseAcquired+500$1.14+$5704,620,000Direct
Sep 10, 2026Class A Ordinary SharesPPurchaseAcquired+1,000$1.18+$1,1804,621,000Direct
Sep 10, 2026Class A Ordinary SharesPPurchaseAcquired+200$1.16+$2324,621,200Direct
Sep 10, 2026Class A Ordinary SharesPPurchaseAcquired+5,000$0.93+$4,6504,626,200Direct
Sep 10, 2026Class A Ordinary SharesPPurchaseAcquired+5,000$0.9501+$4,750.54,631,200Direct
Sep 10, 2026Class A Ordinary SharesPPurchaseAcquired+10,000$0.9456+$9,4564,641,200Direct
Sep 10, 2026Class A Ordinary SharesPPurchaseAcquired+5,000$0.9515+$4,757.54,646,200Direct
Sep 10, 2026Class A Ordinary SharesPPurchaseAcquired+8,000$0.9629+$7,703.24,654,200Direct

Footnotes

Livermore does not store Form 4 footnotes. For price ranges, how indirect holdings are held and trading plan details, read the original on SEC EDGAR.

Read the original on SEC EDGAR (opens in a new tab)