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Lind Global Macro Fund LP 的 Form 4/A 修正申報

修正

Lifeward Ltd.(LFWD),2022/5/17 申報

申報編號
0000929638-22-000929
申報時間
2022/5/17 16:30 ET
交易日
2022/5/12-5/16
申報延遲
5 天
10b5-1 計畫
表單沒有這欄(2023 年以前)
原始申報日
2022/5/16

這份申報列了 6 筆非衍生性交易、2 筆衍生性交易。公開市場買進合計 $10.2 萬。交易後 5 天申報。

這份修正申報取代了 0000929638-22-000927(2022/5/16 申報)。

申報人

一份 Form 4 可以有好幾位申報人,例如本人與他控制的基金。各交易表上顯示的是第一位。

這份申報的申報人
申報人與公司的關係
Lind Global Macro Fund LPCIK 0001773156持股 10% 以上大股東
Lind Global Fund II LPCIK 0001871665持股 10% 以上大股東

非衍生性證券(表 I)

普通股等股票的取得與處分,每一列是申報上的一筆。

非衍生性證券的交易
交易日證券交易股數價格金額交易後持股持有方式旗標
2022/5/12Ordinary Shares, par value NIS 0.25 per shareX行使價內選擇權取得+28,100$2.50+$70,2503,919,245間接
2022/5/13Ordinary Shares, par value NIS 0.25 per shareP買進取得+2,975$0.94+$2,796.53,922,220間接
2022/5/13Ordinary Shares, par value NIS 0.25 per shareP買進取得+2,975$0.94+$2,796.53,430,964間接
2022/5/13Ordinary Shares, par value NIS 0.25 per shareX行使價內選擇權取得+52,500$2.50+$131,2503,483,464間接
2022/5/16Ordinary Shares, par value NIS 0.25 per shareP買進取得+51,494$0.94F3+$48,404.363,973,714間接
2022/5/16Ordinary Shares, par value NIS 0.25 per shareP買進取得+51,494$0.94F3+$48,404.363,534,958間接

衍生性證券(表 II)

選擇權、認股權證、限制型股票單位等。股數是標的股票的股數;單價與金額是衍生證券本身的價格,交易後持有是衍生證券的單位數。

衍生性證券的交易
交易日證券交易標的股數單價金額交易後持有持有方式旗標
2022/5/12Ordinary Shares, par value NIS 0.25 per shareX行使價內選擇權處分−28,100$0.00$03,314間接
2022/5/13Ordinary Shares, par value NIS 0.25 per shareX行使價內選擇權處分−52,500$0.00$03,070間接

附註與備註

本站收錄交易價格引用的附註、修正申報(Form 4/A)的全部附註,以及申報的備註。其他附註,例如間接持有的方式、交易計畫的細節,請看 SEC EDGAR 上的原文。

F1

Reflects securities held directly by Lind Global Macro Fund LP. Lind Global Partners LLC, the general partner of Lind Global Macro Fund LP, and Jeff Easton, the managing member of Lind Global Partners LLC, may each be deemed to have sole voting and dispositive power with respect to these securities. Each of Lind Global Partners LLC and Jeff Easton disclaims beneficial ownership of these securities, except to the extent of any pecuniary interest therein.

F2

Reflects securities held directly by Lind Global Fund II LP. Lind Global Partners II LLC, the general partner of Lind Global Fund II LP, and Jeff Easton, the managing member of Lind Global Partners II LLC, may each be deemed to have sole voting and dispositive power with respect to these securities. Each of Lind Global Partners II LLC and Jeff Easton disclaims beneficial ownership of these securities, except to the extent of any pecuniary interest therein.

F3

Weighted average sale price for Ordinary Shares sold. Actual sales price for shares sold ranged from $0.88 to $0.94. The Reporting Persons undertake to provide the Issuer, any security holder of the Issuer or the staff of the Securities and Exchange Commission full information regarding the number of shares purchased at each separate price.

表 I 有 2 筆交易的價格引用這則附註。

F4

These options are currently exercisable.

F5

These amounts have been updated to correct an administrative error in a previous Form 4.

備註

This amended Form 4 is being filed solely to correct the transaction dates for certain purchases by the Reporting Persons from May 14, 2022 to May 16, 2022, when the transactions occurred.

看 SEC EDGAR 上的完整原文 (在新分頁開啟)