RE:RE:New Promo Video I haven't dug deep into disclosure requirements for awhile but has anyone else asked the 3 regulators if any of them have disclosure requirements regarding cross ownerships ? Potential only conflicts of interest or double dipping compensation? I was searching SEDI for help because it has better info than the insider and ownership tabs here or over at ceo. SEDI, for example, gives more historic info like past insiders and when they ceased to be an insider. They won't show here or at ceo databases. So you could see for example Greg buying Ptx, while an fnc insider, before fnc bought in, then Greg no longer an fnc insider. Or mehra and Sharma became shareholders and reporting insiders of ntx the same day fnc did. It's just so frickin difficult to navigate a system designed by and for securities lawyers and regulators. But back to my question. Does anyone know whether that cross ownership past and/or present is required to be disclosed in at least a footnote? It's not disclosed in their presentation.