October 21, 2021
As the Entity/Owner, that hasnt been provided the Holdings of the Portfolio, by advisors who controlled My Ownership, without common Knowledge of Myself, thru Identity Theft. The Fiduciary or the Commission, Must, provide Me to Stop the Sale or Transfer of Funds, into accounts that I do not Own: The Advisors Concealed My Ownership, to Control Trading within the Indexs involved and the Commission is aware of the cause and effects involved. Transactions have stopped, I think, since I noticed the the manipulation and Theft of My Ownership and Statement Manipulation to Conceal My Funds from Me for the Corporation which was Noticed and Notified to the SEC.
Can communication take place to help to resolve?