Royce & Associates LP's Schedule 13G Filing for Chain Bridge Bancorp Inc
Royce & Associates LP, a New York-based investment management firm, filed a Schedule 13G with the SEC, disclosing its ownership of 245,721 shares of Class A Common Stock in Chain Bridge Bancorp Inc, representing 7.88% of the total shares. The filing indicates that Royce & Associates LP has sole voting and dispositive power over these shares. The securities are beneficially owned by one or more registered investment companies or managed accounts that are clients of Royce & Associates LP. The firm disclaims any pecuniary interest in the securities and asserts that it is not part of a group with Franklin Resources, Inc. or its affiliates. The filing was made under Rule 13d-1(d) and signed by Daniel A. O'Byrne, Vice President of Royce & Associates LP.