As a foreign private issuer, navigating the legal and regulatory landscape of the United States, Canada, and other countries can be complex and challenging. Understanding the requirements and obligations specific to your status is crucial for compliance and success in the international market. Our comprehensive collection of documents and resources is designed to assist foreign private issuers like you in meeting these obligations and achieving your business objectives.
Our collection includes a diverse range of documents, such as SEC Form 15F Certification, which certifies the termination of registration of a class of securities under Section 12(G) of the Securities Exchange Act of 1934. Additionally, we offer SEC Form 1815 (6-K) Report, enabling foreign private issuers to report their financial information and other material events to the Securities and Exchange Commission. These documents are just a few examples of the extensive resources we provide to foreign private issuers.
We understand that there may be various alternate names used to refer to this group, from "foreign private issuer" to "foreign private issuers." Regardless of the terminology used, our documents are tailored to address the unique needs and challenges faced by foreign private issuers in today's global market.
Our experienced team of legal experts is committed to helping you navigate the complexities of foreign private issuer compliance efficiently and effectively. Whether you are looking to terminate your registration or fulfill reporting obligations, our documents will provide the guidance and support you need. Trust us to provide you with the comprehensive resources necessary to navigate the regulatory requirements of being a foreign private issuer, ensuring your continued success in the international market.
Explore our collection today and discover the tools and resources that will empower you as a foreign private issuer.
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This type of document is used by a foreign private issuer to certify the termination of registration of a class of securities or the termination of the duty to file reports under certain sections of the Securities Exchange Act of 1934.
This Form is used for certifying the termination of registration of a class of securities by a foreign private issuer under Section 12(G) of the Securities Exchange Act of 1934, or the termination of the duty to file reports under Section 13(A) or Section 15(D) of the Securities Exchange Act of 1934.