SEC Form 4 reporting owner

Held David

Held David has filed 3 Form 4 transactions reported between March 23, 2026 and August 19, 2026, as Chief Compliance Officer of Mount Logan Capital Inc. and Chief Compliance Officer of BCP Investment Corp.

Name as filed: Held David

Open-market buys, 24 mo
$10K
2 lines
Open-market sales, 24 mo
None
reported
Companies
2
with Form 4 filings
Latest transaction
Aug 19, 2026
transaction date

Roles and reported holdings

  • MLCIMount Logan Capital Inc.
    Jun 1, 2026 – Aug 19, 2026

    Chief Compliance Officer

    Held directly4,763 sh as of Aug 19, 2026 · Form 4

    24 months: $3K bought

  • BCICBCP Investment Corp
    Mar 23, 2026

    Chief Compliance Officer

    Held directly1,258 sh as of Mar 23, 2026 · Form 4

    24 months: $7K bought

Transaction history

All 3 reported transactions, newest first. Every row links to the Form 4 on SEC EDGAR.

DateCompanyTypeSharesValueFiling
Aug 19, 2026MLCIChief Compliance OfficerOpen-market purchaseCode P · direct946$3K@ $3.39Form 4
Jun 1, 2026MLCIChief Compliance OfficerGrant or awardCode A · direct3,817—Form 4
Mar 23, 2026BCICChief Compliance OfficerOpen-market purchaseCode P · direct938$7K@ $7.35Form 4

How this page is built

Every row comes from a Form 4 filed with the SEC, which officers, directors and holders of more than 10% of a company’s stock must file within two business days of a trade. Transactions are grouped by the reporting owner’s name as filed (spacing, capitals and punctuation ignored); two different people filing under an identical name would appear together, and one person filing under two spellings appears on two pages.

Open-market totals count code P purchases and code S sales over the last 24 months. The same trade reported on more than one filing is counted once; when another owner (for example a fund and its general partner) reports the identical trade, they are listed beside it. Holdings are the shares owned after the latest purchase, sale, gift or tax-withholding line, shown separately for direct and indirect ownership; an indirect figure is one holding line, not a total across every trust or entity.

This page describes what was filed with the SEC; it is not investment advice or a recommendation to buy or sell any security.