47 C.F.R. § 1.80003
(j) Additional disclosures for entities subject to Foreign Adversary Control. Except as provided in paragraph (f) of this section, a Schedule A, B, or C Regulatee that attests that it is owned by, controlled by, or subject to the jurisdiction or direction of a foreign adversary, shall disclose to the Commission subject to the applicable deadline set forth in paragraph (h), (i), or (l) of this section, or a deadline set by a Licensing Bureau or Office pursuant to § 1.80002(e)(3):
(1) All 5% or greater direct or indirect equity and/or voting interest holders, and controlling interest holders, specifically:
(i) For each reported natural person interest holder, his or her:
(ii) For each reported entity (including a government entity) interest holder, its:
(l) Ongoing attestation and disclosure requirements. After the deadline for initial attestations set forth in paragraphs (h) and (i) of this section, the following entities shall file a new attestation pursuant to paragraphs (a) and (b) of this section, as applicable, and, if affirmative, the additional disclosures required by paragraph (j) of this section:
(1) Any Regulatee holding a Covered Authorization designated in Schedule A or B, regardless of whether it has already filed an attestation;
(3) A Schedule A or B Regulatee that is subject to Foreign Adversary Control, or any Regulatee whose last attestation was affirmative;
(4) Any entity regardless of Foreign Adversary Control;
(5) Any entity that is subject to Foreign Adversary Control;