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Heartland Media Acquisition Corp. Receives Noncompliance Notice From NYSE
Heartland Media Acquisition Corp. Receives Noncompliance Notice From NYSE
Heartland Media Acquisition Corp. (NYSE:HMA) (the "Company") today announced that on January 12, 2023, the Company received a notice letter (the "Notice") from The New York Stock Exchange (the "NYSE") indicating that the Company is not currently in compliance with the provision of Section 802.01B of the NYSE Listed Company Manual requiring the Company to maintain a minimum of 300 public stockholders on a continuous basis.
Pursuant to the Notice, the Company is subject to the procedures set forth in Sections 801 and 802 of the NYSE Listed Company Manual, and accordingly must submit to the NYSE within 45 days of receiving the Notice a business plan that demonstrates how the Company expects to return to compliance with the minimum public stockholders requirement within 18 months of receiving the Notice. The Company intends to submit such a business plan to the NYSE by the required deadline to regain compliance with the minimum public stockholders requirement within the required timeframe.
The Company's business plan will be reviewed by the Listings Operations Committee (the "Committee") of the NYSE. If the Committee accepts the plan, the Company will be subject to quarterly monitoring for compliance with the plan. If the Committee does not accept the plan, the Company will be subject to suspension and delisting procedures.
During such time as the Company is deemed noncompliant with the minimum public stockholders requirement, the Company's Class A common stock, warrants, and units will bear the indicator ".BC" on the consolidated tape to indicate noncompliance with the NYSE's quantitative continued listing standards.
The Notice and the procedures described above have no current effect on the continued listing of the Company's securities on the NYSE, subject to the Company's compliance with the NYSE's other applicable continued listing requirements.
Heartland Media Acquisition Corp. (NYSE:HMA) (the "Company") today announced that on January 12, 2023, the Company received a notice letter (the "Notice") from The New York Stock Exchange (the "NYSE") indicating that the Company is not currently in compliance with the provision of Section 802.01B of the NYSE Listed Company Manual requiring the Company to maintain a minimum of 300 public stockholders on a continuous basis.
哈特兰传媒收购公司(纽约证券交易所股票代码:HMA)(“本公司”)今天宣布,公司于2023年1月12日收到纽约证券交易所(“纽约证券交易所”)的一封通知函(“通知”),表明公司目前未遵守纽约证券交易所上市公司手册第802.01B节的规定,该条款要求公司持续维持至少300名公众股东。
Pursuant to the Notice, the Company is subject to the procedures set forth in Sections 801 and 802 of the NYSE Listed Company Manual, and accordingly must submit to the NYSE within 45 days of receiving the Notice a business plan that demonstrates how the Company expects to return to compliance with the minimum public stockholders requirement within 18 months of receiving the Notice. The Company intends to submit such a business plan to the NYSE by the required deadline to regain compliance with the minimum public stockholders requirement within the required timeframe.
根据该通知,本公司须遵守《纽约证券交易所上市公司手册》第801及802节规定的程序,因此必须在收到通知后45天内向纽约证券交易所提交一份业务计划,表明公司预计如何在收到通知后18个月内恢复遵守最低公众股东要求。该公司打算在规定的最后期限前向纽约证券交易所提交这样一份商业计划,以便在规定的时间框架内重新遵守最低公共股东要求。
The Company's business plan will be reviewed by the Listings Operations Committee (the "Committee") of the NYSE. If the Committee accepts the plan, the Company will be subject to quarterly monitoring for compliance with the plan. If the Committee does not accept the plan, the Company will be subject to suspension and delisting procedures.
该公司的业务计划将由纽约证券交易所上市运作委员会(“委员会”)审查。如果委员会接受该计划,该公司将接受对该计划的遵守情况的季度监测。如果委员会不接受该计划,该公司将受到停牌和退市程序的影响。
During such time as the Company is deemed noncompliant with the minimum public stockholders requirement, the Company's Class A common stock, warrants, and units will bear the indicator ".BC" on the consolidated tape to indicate noncompliance with the NYSE's quantitative continued listing standards.
在公司被认为不符合最低公众股东要求的时间内,公司的A类普通股、认股权证和单位将在合并磁带上标有“.BC”的指示符,以表明不符合纽约证券交易所的量化持续上市标准。
The Notice and the procedures described above have no current effect on the continued listing of the Company's securities on the NYSE, subject to the Company's compliance with the NYSE's other applicable continued listing requirements.
上述通知及程序对本公司证券继续在纽交所上市并无现行效力,但须视乎本公司遵守纽交所其他适用的持续上市规定而定。
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moomoo是Moomoo Technologies Inc.公司提供的金融信息和交易应用程序。
在美国,moomoo上的投资产品和服务由Moomoo Financial Inc.提供,一家受美国证券交易委员会(SEC)监管的持牌主体。 Moomoo Financial Inc.是金融业监管局(FINRA)和证券投资者保护公司(SIPC)的成员。
在新加坡,moomoo上的投资产品和服务是通过Moomoo Financial Singapore Pte. Ltd.提供,该公司受新加坡金融管理局(MAS)监管(牌照号码︰CMS101000) ,持有资本市场服务牌照 (CMS) ,持有财务顾问豁免(Exempt Financial Adviser)资质。本内容未经新加坡金融管理局的审查。
在澳大利亚,moomoo上的金融产品和服务是通过Futu Securities (Australia) Ltd提供,该公司是受澳大利亚证券和投资委员会(ASIC)监管的澳大利亚金融服务许可机构(AFSL No. 224663)。请阅读并理解我们的《金融服务指南》、《条款与条件》、《隐私政策》和其他披露文件,这些文件可在我们的网站 https://www.moomoo.com/au中获取。
在加拿大,通过moomoo应用提供的仅限订单执行的券商服务由Moomoo Financial Canada Inc.提供,并受加拿大投资监管机构(CIRO)监管。
在马来西亚,moomoo上的投资产品和服务是通过Moomoo Securities Malaysia Sdn. Bhd. 提供,该公司受马来西亚证券监督委员会(SC)监管(牌照号码︰eCMSL/A0397/2024) ,持有资本市场服务牌照 (CMSL) 。本内容未经马来西亚证券监督委员会的审查。
Moomoo Technologies Inc., Moomoo Financial Inc., Moomoo Financial Singapore Pte. Ltd., Futu Securities (Australia) Ltd, Moomoo Financial Canada Inc.,和Moomoo Securities Malaysia Sdn. Bhd.是关联公司。
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