SCHEDULE 13G/A: TD Securities and Affiliates Report Zero Beneficial Ownership in Hennessy Capital Investment Corp. VI

Sentiment:

Schedule 13G Amendment


An amended Schedule 13G filing reveals that TD Securities (USA) LLC and its affiliated entities no longer hold any beneficial ownership in Hennessy Capital Investment Corp. VI as of March 31, 2025.

Summary

  • TD Securities (USA) LLC, Toronto Dominion Holdings USA Inc., TD Group US Holdings LLC, and Toronto Dominion Bank have filed an Amendment No. 1 to Schedule 13G regarding their beneficial ownership in Hennessy Capital Investment Corp. VI.
  • The filing indicates that as of March 31, 2025, the reporting persons collectively and individually beneficially own 0.00 shares of Class A common stock, representing 0% of the class.
  • This statement is filed under Rule 13d-1(b), signifying that the securities were acquired and are held in the ordinary course of business and not for the purpose of changing or influencing the control of the issuer.
  • The principal executive offices of Hennessy Capital Investment Corp. VI are located at 195 US HWY 50 SUITE 309, Zephyr Cove, Nevada 89448.
  • The reporting entities are headquartered in New York, New York (TD Securities (USA) LLC, Toronto Dominion Holdings USA Inc.) and Toronto, Ontario, Canada (Toronto Dominion Bank), with TD Group US Holdings LLC in Delaware.

Sentiment

Score: 5

Explanation: The document is a factual, regulatory filing (Schedule 13G Amendment) reporting beneficial ownership. It contains no performance data, forward-looking statements, or qualitative assessments that would indicate positive or negative sentiment. It is purely informational.

Positives

  • The filing confirms that the reporting entities' holdings were for ordinary course of business, not for control purposes, which is a standard regulatory compliance statement.

Negatives

  • The document does not present any negative financial or operational information about Hennessy Capital Investment Corp. VI, as it is solely a beneficial ownership disclosure.

Risks

  • The document itself does not detail specific risks related to Hennessy Capital Investment Corp. VI, as its purpose is to report beneficial ownership. It only states that the securities were not acquired or held for the purpose of changing or influencing control of the issuer.

Future Outlook

This Schedule 13G filing is a historical disclosure of beneficial ownership and does not contain any forward-looking statements or guidance regarding the future outlook of Hennessy Capital Investment Corp. VI or the reporting entities' investment strategies.

Industry Context

This filing is a routine regulatory disclosure by financial institutions, indicating a change in their passive investment holdings. It does not provide insights into broader industry trends or competitive landscapes, but rather reflects a specific ownership position in a Special Purpose Acquisition Company (SPAC).

Stakeholder Impact

  • Shareholders: The filing indicates that TD Securities and its affiliates no longer hold shares, which might be noted by investors tracking institutional ownership, but it does not inherently imply a positive or negative impact on the company's value or operations.
  • Employees, Customers, Suppliers, Creditors: This type of beneficial ownership filing has no direct or material impact on these stakeholders.

Key Dates

DateDescription
03/31/2025Date of event which required the filing of this statement (beneficial ownership dropped to 0%).
05/12/2025Date the Schedule 13G Amendment No. 1 was signed and filed.

Keywords

Schedule 13G, Beneficial Ownership, SEC Filing, Hennessy Capital Investment Corp. VI, TD Securities, Toronto Dominion Bank, Class A Common Stock, Regulatory Disclosure, Investment Holdings

Disclaimer:The information provided here is for general informational purposes only and does not constitute financial advice, recommendation, or endorsement of any kind. It may contain errors or omissions. You should not rely on this information to make financial decisions. Always seek the advice of a qualified financial professional before making any investment or financial decisions. Use of this information is at your own risk.