SEC Form 4/A · accession 0001043951-16-000062
CAMPBELL FUND TRUST
Statement of changes in beneficial ownership, as filed. Original on EDGAR ↗
This is an amendment (Form 4/A). It replaces an earlier filing for the same period.
Reporting owners
D Keith Campbell
Other
Thomas P Lloyd
Other
G William Andrews
Other
Michael Seth Harris
Other
Period of report
Dec 2, 2014
Accepted (ET)
Feb 18, 2016 · 2:27 pm EST
Rule 10b5-1 plan
unknown — predates the checkbox
Issuer CIK
0001043951
Table I — non-derivative securities
| Security | Date | Code | Shares | Price | A/D | Owned after | D/I | Nature of ownership |
|---|---|---|---|---|---|---|---|---|
| Units of Beneficial OwnershipF1,F2,F3,F4 | holding | — | — | — | 0 | D |
Table II — derivative securities
No Table II lines on this filing.
Explanation of responses
- F1The Form 4, as originally filed as of 12/2/2014, reported the termination of Mr. Andrews as a Director of the Managing Operator of the Issuer. Mr. Andrews remains Chief Executive Officer of the Managing Operator of the Issuer, and is still subject to Section 16 filing requirements in such capacities.
- F2The Form 4, as originally filed as of 12/2/2014, reported the termination of Mr. Campbell as a Director & Chairman of the Board of the Managing Operator of the Issuer. Mr. Campbell remains an officer of the Managing Operator of the Issuer, and is still subject to Section 16 filing requirements in such capacities.
- F3The Form 4, as originally filed as of 12/2/2014, reported the termination of Mr. Harris as a Director of the Managing Operator of the Issuer. Mr. Harris remains an officer of the Managing Operator of the Issuer, and is still subject to Section 16 filing requirements in such capacities.
- F4The Form 4, as originally filed as of 12/2/2014, reported the termination of Mr. Lloyd as a Director of the Managing Operator of the Issuer. Mr. Lloyd remains an officer of the Managing Operator of the Issuer, and is still subject to Section 16 filing requirements in such capacities.