TALON INTERNATIONAL, INC.
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(Name of Issuer)
COMMON STOCK, $.001 PAR VALUE
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(Title Class of Securities)
87484F108
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(CUSIP Number)
DECEMBER 31, 2011
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CUSIP No. 87484F108
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13G
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Page 2 of 5 Pages
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1
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NAMES OF REPORTING PERSONS
I.R.S. IDENTIFICATION NO. OF ABOVE PERSONS (ENTITIES ONLY)
Mark Dyne
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2
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CHECK THE APPROPRIATE BOX IF A MEMBER OF A GROUP*
(a)
(b)
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3
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SEC USE ONLY
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4
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CITIZENSHIP OR PLACE OF ORGANIZATION
Republic of South Africa
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NUMBER OF SHARES
BENEFICIALLY OWNED
BY EACH
REPORTING PERSON
WITH
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5
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SOLE VOTING POWER
1,075,667 (1)
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6
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SHARED VOTING POWER
0
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7
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SOLE DISPOSITIVE POWER
1,075,667 (1)
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8
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SHARED DISPOSITIVE POWER
0
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9
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AGGREGATE AMOUNT BENEFICIALLY OWNED BY EACH REPORTING PERSON
1,075,667 (1)
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10
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CHECK BOX IF THE AGGREGATE AMOUNT IN ROW (9) EXCLUDES CERTAIN SHARES*
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11
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PERCENT OF CLASS REPRESENTED BY AMOUNT IN ROW 9
5.1% (2)
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12
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TYPE OF REPORTING PERSON*
IN
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(1)
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Includes 240,000 shares of common stock reserved for issuance upon exercise of stock options which are exercisable within 60 days of December 31, 2011. Also includes 176,600 shares held by a limited liability company of which the Reporting Person is the manager and a member.
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(2)
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Based on a total of 21,000,808 shares of the Issuer’s common stock issued and outstanding on November 9, 2011, as reported on the Issuer’s Quarterly Report on Form 10-Q filed on November 10, 2011.
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Item 1(a).
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Name of Issuer:
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Item 1(b).
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Address of Issuer's Principal Executive Offices: |
Item 2(a).
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Name of Person Filing: |
Item 2(b). | Address of Principal Business Office or, if None, Residence: |
Item 2(c). | Citizenship: |
Item 2(d). | Title of Class of Securities: |
Item 2(e). | CUSIP Number: |
Item 3. | If This Statement is Filed Pursuant to Rule 13d-1(b), or 13d-2(b) or (c), Check Whether the Person Filing is a: |
(a) | [ ] Broker or Dealer registered under Section 15 of the Exchange Act. |
(b) | [ ] Bank as defined in Section 3(a)(6) of the Exchange Act. |
(c) | [ ] Insurance Company as defined in Section 3(a)(19) of the Exchange Act. |
(d) | [ ] Investment Company registered under Section 8 of the Investment Company Act. |
(e) | [ ] An investment adviser in accordance with Rule 13d-1(b)(1)(ii)(E). |
(f) | [ ] An employee benefit plan or endowment fund in accordance with 13d-(b)(1)(ii)(F). |
(g) | [ ] A parent holding company or control person in accordance with Rule 13d-1(b)(ii)(G). |
(h) | [ ] A savings association as defined in Section 3(b) of the Federal Deposit Insurance Act. |
(i) | [ ] A church plan that is excluded from the definition of an investment company under Section 3(c)(14) of the Investment Company Act. |
(j) | [ ] Group, in accordance with Rule 13d-1(b)(1)(ii)(J). |
Item 4. | Ownership. |
Item 5. | Ownership of Five Percent or Less of a Class. |
Item 6. | Ownership of More than Five Percent on Behalf of Another Person. |
Item 7. | Identification and Classification of the Subsidiary Which Acquired the Security Being Reported on by the Parent Holding Company. |
Item 8. | Identification and Classification of Members of the Group. |
Item 9. | Notice of Dissolution of Group. |
Item 10. | Certifications. |
February 13, 2012 | ||
(Date)
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/s/ Mark Dyne
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(Signature) | ||
MARK DYNE | ||
(Name/Title) |