Form: 144

Report of proposed sale of securities

144: Filer Information

144: Issuer Information

144: Securities Information

Title of the Class of Securities To Be SoldName and Address of the BrokerNumber of Shares or Other Units To Be SoldAggregate Market ValueNumber of Shares or Other Units OutstandingApproximate Date of SaleName the Securities Exchange
Common
BTIG LLC
350 Bush Street
9th Floor
San Francisco   CA   94104
3858055798649.1513544142505/06/2026
New York


Furnish the following information with respect to the acquisition of the securities to be sold and with respect to the payment of all or any part of the purchase price or other consideration therefor:

144: Securities To Be Sold

Title of the ClassDate you AcquiredNature of Acquisition TransactionName of Person from Whom AcquiredIs this a Gift?Date Donor AcquiredAmount of Securities AcquiredDate of PaymentNature of Payment *
Common 06/10/2022open market purchaseopen marketCheckbox not checked700006/10/2022cash
Common06/13/2022open market purchaseopen marketCheckbox not checked350006/13/2022cash
Common06/14/2022open market purchaseopen marketCheckbox not checked700006/14/2022cash
Common06/15/2022open market purchaseopen marketCheckbox not checked1400006/15/2022cash
Common06/16/2022open market purchaseopen marketCheckbox not checked2100006/16/2022cash
Common 06/17/2022open market purchaseopen marketCheckbox not checked2450006/17/2022cash
Common06/21/2022open market purchaseopen marketCheckbox not checked2100006/21/2022cash
Common06/22/2022open market purchaseopen marketCheckbox not checked1050006/22/2022cash
Common06/23/2022open market purchaseopen marketCheckbox not checked700006/23/2022cash
Common06/24/2022open market purchaseopen marketCheckbox not checked350006/24/2022cash
Common06/29/2022open market purchaseopen marketCheckbox not checked350006/29/2022cash
Common06/30/2022open market purchaseopen market Checkbox not checked1050006/30/2022cash
Common07/06/2022open market purchaseopen marketCheckbox not checked700007/06/2022cash
Common07/13/2022open market purchaseopen marketCheckbox not checked700007/13/2022cash
Common07/14/2022open market purchaseopen marketCheckbox not checked350007/14/2022cash
Common08/01/2022open market purchaseopen marketCheckbox not checked1050008/01/2022cash
Common08/03/2022open market purchaseopen marketCheckbox not checked700008/03/2022cash
Common08/04/2022open market purchaseopen marketCheckbox not checked700008/04/2022cash
Common08/05/2022open market purchaseopen marketCheckbox not checked700008/05/2022cash
Common08/09/2025open market purchaseopen marketCheckbox not checked700008/09/2022cash
Common08/24/2022open market purchaseopen marketCheckbox not checked350008/24/2022cash
Common08/29/2022open market purchaseopen marketCheckbox not checked1050008/29/2022cash
Common08/31/2022open market purchaseopen marketCheckbox not checked350008/31/2022cash
Common 09/01/2022open market purchaseopen marketCheckbox not checked700009/01/2022cash
Common09/07/2022open market purchaseopen marketCheckbox not checked350009/07/2022cash
Common09/16/2022open market purchaseopen marketCheckbox not checked700009/16/2022cash
Common09/22/2022open market purchaseopen marketCheckbox not checked1400009/22/2022cash
Common09/29/2022open market purchaseopen marketCheckbox not checked1400009/29/2022cash
Common12/19/2022open market purchaseopen marketCheckbox not checked4000012/19/2022cash
Common02/17/2023open market purchaseopen marketCheckbox not checked549502/17/2023cash
Common02/21/2023open market purchaseopen marketCheckbox not checked3008602/21/2023cash
Common02/22/2023open market purchaseopen marketCheckbox not checked3960302/22/2023cash
Common02/23/2023open market purchaseopen marketCheckbox not checked1196902/23/2023cash
Common02/24/2023open market purchaseopen marketCheckbox not checked665202/24/2023cash

* 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.



Furnish the following information as to all securities of the issuer sold during the past 3 months by the person for whose account the securities are to be sold.

144: Securities Sold During The Past 3 Months

Name and Address of SellerTitle of Securities SoldDate of SaleAmount of Securities SoldGross Proceeds
ECA FUND, LP
520 POST OAK BLVD
SUITE 777
Houston   TX   77027
COMMON 02/23/202613500139112.10
ECA FUND, LP
520 POST OAK BLVD,
SUITE 777
Houston   TX   77027
COMMON03/11/202613500140092.20
ECA FUND, LP
520 POST OAK BLVD
SUITE 777
Houston   TX   77027
COMMON04/01/202614426159558.77
ECA FUND, LP
520 POST OAK BLVD
SUITE 777
Houston   TX   77027
COMMON04/02/2026359340015.24

144: Remarks and Signature