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2025-09-18RYAN3Appointment of Michael G. Bungert as Director and Power of AttorneyMEDIUM
Michael G. Bungert was appointed to the board of directors of Ryan Specialty Holdings, Inc. on September 3, 2025, and began functioning as a director on September 12, 2025. The filing includes a Power of Attorney document, which appoints Mark Katz, Ian Ackerman, and Philip Adler as attorneys-in-fact to execute and file...
2025-09-18OII3Michael W. Sumruld's SEC Filing for Oceaneering International IncLOW
Michael W. Sumruld, Senior Vice President of Finance at Oceaneering International Inc, filed a Form 3 with the SEC on September 18, 2025. The filing reports that as of September 2, 2025, Sumruld does not beneficially own any securities of the company. The filing includes a footnote stating 'No securities are beneficial...
2025-09-18MAYA3Maywood Acquisition Corp. - Officer Ownership FilingLOW
The filing is a Form 3 submitted by Maywood Acquisition Corp. (MAYA) on September 18, 2025, reporting the ownership of securities by Kevin George Shannon, the Chief Operating Officer of the company. The filing indicates that Kevin George Shannon does not own any securities as of the period of report, which is September...
2025-09-18MAYA3Maywood Acquisition Corp. - Form 3 Filing by William Morris DenkinLOW
On September 18, 2025, William Morris Denkin filed a Form 3 with the SEC, indicating his ownership in Maywood Acquisition Corp. (MAYA). The filing reports that Denkin, who is a director of the company, owns no securities as of the period of report on September 11, 2025. The filing was signed by Denkin and submitted fro...
2025-09-18LNN3Power of Attorney for SEC Filings by Lindsay Corporation DirectorMEDIUM
Khandaker Jahidul Huq, a director of Lindsay Corporation, has granted a Power of Attorney to Eric Arneson, Brian Ketcham, and Ryan Loneman. This authorization allows them to act on his behalf for various SEC-related activities, including obtaining EDGAR access codes, executing Forms 3, 4, and 5 under Section 16(a) of t...
2025-09-18IREN3Power of Attorney for Anthony J. LewisLOW
Anthony J. Lewis, the Chief Financial Officer of IREN Ltd, has executed a Power of Attorney appointing Cesilia Kim and David MacAogain as his attorneys-in-fact. This authorization allows them to manage and file necessary documents with the SEC on his behalf, including Forms 3, 4, and 5 related to Section 16 of the Secu...
2025-09-18HLNE3Margaret McAllister's Ownership and Power of Attorney in Hamilton Lane Inc.MEDIUM
The filing details Margaret McAllister's ownership in Hamilton Lane Inc., including her holdings of Class A and Class B Common Stock. McAllister, a 10% owner, received these securities through a court-approved divorce settlement. The Class B Common Stock entitles the holder to ten votes per share but carries no economi...
2025-09-18GRPN3Late Filing of Form 3 by Groupon, Inc. CFO Kashyap RanaLOW
Groupon, Inc. CFO Kashyap Rana filed a late Form 3 due to an unanticipated delay in establishing Edgar filing codes. The filing discloses Rana's ownership of 148,000 shares of common stock directly and an additional 25,000 shares held in custodial accounts for his children. The filing also includes details about perfor...
2025-09-18FNWB3Limited Power of Attorney for Section 16 Reporting ObligationsLOW
Curt Queyrouze, President and CEO of First Northwest Bancorp, has executed a Limited Power of Attorney (POA) appointing Geri Bullard and Allison R. Mahaney as his attorneys-in-fact. The POA authorizes them to prepare, execute, and file Forms 3, 4, and 5 with the SEC and any relevant securities exchanges on his behalf. ...
2025-09-18FULTP3Kevin C. Gremer's SEC Form 3 Filing for Fulton Financial CorpLOW
Kevin C. Gremer, SEVP Chief Operations & Tech of Fulton Financial Corp, filed a Form 3 with the SEC on September 18, 2025, reporting no securities beneficially owned as of August 25, 2025. The filing indicates that Gremer does not hold any shares of the company's $2.50 par value common stock. The document was signed by...
2025-09-18CCI3Christian H Hillabrant's Ownership Report for Crown Castle Inc.LOW
Christian H Hillabrant, President and CEO of Crown Castle Inc., filed a Form 3 with the SEC on September 18, 2025, reporting no securities beneficially owned as of September 15, 2025. The filing indicates that Hillabrant holds no direct or indirect ownership in the company's securities. This report is a standard disclo...
2025-09-18BWBBP3Bridgewater Bancshares Inc - Officer Stock Options and Power of AttorneyMEDIUM
The filing details stock options granted to Katie Lynn Morrell, Chief Credit Officer of Bridgewater Bancshares Inc. Two options are outlined: one granted on 08/01/2023 for 10,000 shares at $10.65, exercisable in 25% increments over four years, and another granted on 02/03/2025 for 25,000 shares at $13.78, also exercisa...
2025-09-18BWBBP3Jessica Stejskal's Stock Options and Power of AttorneyMEDIUM
The filing details Jessica Stejskal, Chief Experience Officer of Bridgewater Bancshares Inc., and her stock options. She holds options to buy common stock under the 2017 Combined Incentive and Non-Statutory Stock Plan and the 2023 Equity Incentive Plan. The options are exercisable in increments over several years, with...
2025-09-17WASH3No Securities Owned by James Cannon Brown of Washington Trust Bancorp IncLOW
The filing reports that James Cannon Brown, the Senior Executive Vice President and Chief Commercial Banking Officer of Washington Trust Bancorp Inc, does not own any securities as of September 15, 2025. The filing includes a Power of Attorney executed by Kristen L. DiSanto on behalf of James Cannon Brown. The report w...
2025-09-17TLYS3Power of Attorney for Nathan Michael SmithLOW
Nathan Michael Smith, President and Chief Executive Officer of Tilly's, Inc., has executed a Power of Attorney document. This document appoints several individuals, including Michael L. Henry, Christina Campbell, Nitai Chokshi, and Tilly’s General Counsel, as his attorneys-in-fact. These attorneys-in-fact are authorize...
2025-09-17STT3Power of Attorney for Brian J. Porter at State Street CorpLOW
Brian J. Porter, a director of State Street Corporation, has executed a Power of Attorney appointing several individuals as his attorneys-in-fact. These attorneys are authorized to act on his behalf in matters related to SEC filings, including the preparation and submission of Forms 3, 4, and 5, as well as managing his...
2025-09-17QMCO3Power of Attorney for James C. Clancy at Quantum CorporationLOW
James C. Clancy, a director of Quantum Corporation, has appointed Tara Ilges and Laura A. Nash as his attorneys-in-fact. This Power of Attorney authorizes them to execute and file Forms 3, 4, 5, and 144 on his behalf in compliance with Section 16(a) of the Securities Exchange Act of 1934. The attorneys-in-fact are also...
2025-09-17QMCO3Power of Attorney for Tony J. Blevins at Quantum CorporationLOW
The filing is a Power of Attorney document for Tony J. Blevins, a director at Quantum Corporation. The document appoints Tara Ilges and Laura A. Nash as attorneys-in-fact to execute Forms 3, 4, 5, and 144 on behalf of Blevins in accordance with Section 16(a) of the Securities Exchange Act of 1934. The attorneys-in-fact...
2025-09-17OPEN3Power of Attorney for Kasra Nejatian of Opendoor Technologies Inc.LOW
The filing is a Power of Attorney document for Kasra Nejatian, the Chief Executive Officer and Director of Opendoor Technologies Inc. The document, signed by Sydney Schaub as Attorney-in-fact, grants authority to act on behalf of Kasra Nejatian. The filing indicates that Kasra Nejatian does not own any securities in th...
2025-09-17OUT3Power of Attorney for Nicolle PangisLOW
Nicolle Pangis, a director of OUTFRONT Media Inc., has executed a Power of Attorney appointing Richard H. Sauer, Louis J. Capocasale, and Alla Khabinskaya as her attorneys-in-fact. This authorization allows them to file Forms 3, 4, 5, and 144, as well as other necessary documents related to securities ownership and tra...
2025-09-17MFICL3Power of Attorney for MidCap Financial Investment CorpLOW
The filing is a Power of Attorney document for MidCap Financial Investment Corp, appointing Tanner Powell, Kristin Hester, Ted McNulty, and Ryan Del Giudice as agents and attorneys-in-fact for Joseph Durkin, the Chief Accounting Officer. This document authorizes them to execute registration statements on Form N-2 or ot...
2025-09-17DNUT3Power of Attorney Filing for Joseph J Esposito at Krispy Kreme, Inc.LOW
The filing is a Power of Attorney document for Joseph J Esposito, the Chief Accounting Officer of Krispy Kreme, Inc. The document, filed on September 17, 2025, grants Christine McDevitt the authority to act as attorney-in-fact for Esposito. The filing includes details of Esposito's ownership of common stock in the comp...
2025-09-17KDP3Restricted Stock Units Granted to Keurig Dr Pepper Inc. OfficerMEDIUM
The filing discloses the grant of restricted stock units (RSUs) to Olivier Lemire, President of U.S. Coffee at Keurig Dr Pepper Inc. The RSUs are subject to vesting conditions and represent a contingent right to receive shares of the company's common stock upon vesting. The RSUs are scheduled to vest in multiple instal...
2025-09-17IMMX3Nancy T. Chang's Ownership and Derivative Holdings in Immix Biopharma, Inc.MEDIUM
The SEC filing details the ownership and derivative holdings of Dr. Nancy T. Chang in Immix Biopharma, Inc. (IMMX). Dr. Chang, who is a director of the company, directly owns 421,940 shares of common stock. Additionally, she indirectly owns 496,940 shares through Robinhood II, LP, where she serves as the general manage...
2025-09-17GPRE3Green Plains Inc. SVP Operations Trent L. Collins' Stock Holdings UpdateLOW
The filing reports the stock holdings of Trent L. Collins, Senior Vice President of Operations at Green Plains Inc. As of August 19, 2025, Collins owns 27,678 shares of common stock. This includes three restricted stock award (RSA) grants, which are subject to vesting schedules. The first grant of 4,600 RSAs vests in e...