This page lists the SEC filings reported by VENROCK ASSOCIATES III LP.
Type | Filed | |
---|---|---|
SC 13G/A | 2015-02-13 | EDGAR |
SC 13D | 2014-10-10 | EDGAR |
4 | 2014-10-01 | EDGAR |
3 | 2014-09-24 | EDGAR |
4/A | 2012-11-21 | EDGAR |
4 | 2012-11-21 | EDGAR |
4 | 2012-04-04 | EDGAR |
3 | 2012-03-27 | EDGAR |
4 | 2011-11-15 | EDGAR |
4 | 2011-11-09 | EDGAR |
3 | 2011-11-08 | EDGAR |
4 | 2010-03-15 | EDGAR |
3 | 2009-04-23 | EDGAR |
3 | 2005-09-20 | EDGAR |
4 | 2005-09-09 | EDGAR |
4 | 2005-08-16 | EDGAR |
3 | 2005-08-10 | EDGAR |
4 | 2005-07-14 | EDGAR |
4 | 2005-07-08 | EDGAR |
4 | 2005-01-04 | EDGAR |
- Form 13F-HR
- The 13F-HR report is filed quarterly to report securities held by the filer that fall under the SEC's 13F rules.
- Form SC 13D/G
- Reported by persons and groups who own 5% or more of any class of a company's outstanding shares. If the ownership changes by 1% or more, an amendment must be filed.
- Form 3, 4, and 5
- Form 3, 4, and 5 reports are filed to report insider transactions by company officers and directors, and any beneficial owners of more than ten percent of a company's shares. Form 3 is the initial report that must be filed when a person becomes an officer, director, or beneficial owner. Form 4 reports are used to report changes in ownership, while the Form 5 report is used for reporting transactions that should have been reported earlier in a Form 4 filing.