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Share Name | Share Symbol | Market | Type |
---|---|---|---|
Sun Life Financial Inc | NYSE:SLF | NYSE | Common Stock |
Price Change | % Change | Share Price | High Price | Low Price | Open Price | Shares Traded | Last Trade | |
---|---|---|---|---|---|---|---|---|
0.42 | 0.81% | 52.48 | 52.60 | 52.1295 | 52.51 | 387,697 | 01:00:00 |
UNITED STATES
SECURITIES AND EXCHANGE COMMISSION Washington, D.C. 20549 FORM 144 NOTICE OF PROPOSED SALE OF SECURITIES PURSUANT TO RULE 144 UNDER THE SECURITIES ACT OF 1933
ATTENTION:
Transmit for filing 3 copies of this form concurrently with either placing an order with a broker to execute sale
or executing a sale directly with a market maker |
OMB APPROVAL
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OMB Number: 3235-0101
Expires: May 31, 2017 Estimated average burden hours per response..........1.00 |
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SEC USE ONLY
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DOCUMENT SEQUENCE NO.
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CUSIP NUMBER
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1
(a)
NAME OF ISSUER
(Please type or print)
Sun Life Financial Inc. |
(b)
IRS IDENT. NO.
Not Applicable |
(c)
S.E.C. FILE NO.
001-15014 |
WORK LOCATION
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1 (
d
) ADDRESS OF ISSUER
STREET
CITY
STATE
ZIP CODE
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(e)
TELEPHONE NO.
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150 King Street, 6 th Floor, Toronto Ontario, Canada M5H IJ9 |
AREA CODE
416 |
NUMBER
979-4800 |
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2
(a)
NAME OF PERSON FOR WHOSE ACCOUNT THE SECURITIES
ARE TO BE SOLD Claude Accum |
(b)
RELATIONSHIP
TO ISSUER Officer |
(c)
ADDRESS STREET
CITY
STATE
ZIP CODE
c/o Sun Life Financial, SC 2335, One Sun Life Executive Park, Wellesley Hills, Massachusetts |
1. (a) Name of issuer
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3. (a) Title of the class of securities to be sold
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(b) Issuer's I.R.S. Identification Number
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(b) Name and address of each broker through whom the securities are intended to be sold
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(c) Issuer's S.E.C. file number, if any
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(c) Number of shares or other units to be sold (if debt securities, give the aggregate face amount)
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(d) Issuer's address, including zip code
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(d) Aggregate market value of the securities to be sold as of a specified date within 10 days prior to the filing of this notice
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(e) Issuer's telephone number, including area code
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(e) Number of shares or other units of the class outstanding, or if debt securities the face amount thereof outstanding, as shown by the most recent report or statement published by the issuer
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2. (a) Name of person for whose account the securities are to be sold
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(f) Approximate date on which the securities are to be sold
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(b) Such person's relationship to the issuer (e.g., officer, director, 10%
stockholder, or member of immediate family of any of the foregoing) |
(g) Name of each securities exchange, if any, on which the securities are intended to be sold
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(c) Such person's address, including zip code
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Title of
the Class |
Date you
Acquired |
Nature of Acquisition Transaction
|
Name of Person from Whom Acquired
(If gift, also give date donor acquired) |
Amount of
Securities Acquired |
Date of
Payment |
Nature of Payment
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Common
Shares |
Stock Option Exercise
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Sun Life Financial Inc.
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79,956
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12-08-2016
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Cash
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INSTRUCTIONS:
If the securities were purchased and full payment therefor was not made in cash at the time of purchase, explain in the table or in a note thereto the nature of the consideration given. If the consideration consisted of any note or other obligation, or if payment was made in installments describe the arrangement and state when the note or other obligation was discharged in full or the last installment paid.
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Name and Address of Seller
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Title of Securities Sold
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Date of Sale
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Amount of
Securities Sold |
Gross Proceeds
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INSTRUCTIONS:
See the definition of "person" in paragraph (a) of Rule 144. Information is to be given not only as to the person for whose account the securities are to be sold but also as to all other persons included in that definition. In addition, information shall be given as to sales by all persons whose sales are required by paragraph (e) of Rule 144 to be aggregated with sales for the account of the person filing this notice. |
ATTENTION:
The person for whose account the securities to which this notice relates are to be sold hereby represents by signing this notice that he does not know any material adverse information in regard to the current and prospective operations of the Issuer of the securities to be sold which has not been publicly disclosed. If such person has adopted a written trading plan or given trading instructions to satisfy Rule 10b-5-1 under the Exchange Act, by signing the form and indicating the date that the plan was adopted or the instruction given, that person makes such representation as of the plan adoption or instruction date. |
ATTENTION: Intentional misstatements or omission of facts constitute Federal Criminal Violations (See 18 U.S.C. 1001)
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