InsiderTrades

Form 4 for RHP Ryman Hospitality Properties, Inc.

Accepted 2024-03-18 00:00:00 ET · period of report 2024-03-15 · accession 0000950170-24-032732 · SEC index · Original document

Summary rows

Aggregated the way they appear in lists: one row per insider, transaction code and security table.

X Filed Traded Ticker Insider Title Type Price Qty Owned ΔOwn Value
DM 2024-03-18 2024-03-15 RHP Lynn Scott J EVP, GC, Sec F - Tax $0.00 -6,087 21.5K -22% $0
DM 2024-03-18 2024-03-15 RHP Lynn Scott J EVP, GC, Sec M - OptEx $0.00 +15.5K 20.9K +285% $0
DM 2024-03-18 2024-03-15 RHP Lynn Scott J EVP, GC, Sec M - OptEx $0.00 -15.5K 0 -100% $0

Purchase Sale Sale after option exercise All abbreviations

Every reported transaction

#TableSecurityDateCodeA/DSharesPriceOwned afterOwnExercise / expiryUnderlyingFootnotes
1 Common Common Stock 2024-03-15 F D 369 $0.00 20,525 D — — (F1) Represents shares withheld to satisfy Mr. Lynn's tax withholding obligation with respect to 937 shares of common stock issued upon the vesting of time based restricted stock units (including accrued dividend equivalent units payable in additional shares of stock) on March 15, 2024. Mr. Lynn retained the remaining 568 shares.
2 Common Common Stock 2024-03-15 M A 913 $0.00 21,438 D — —
3 Common Common Stock 2024-03-15 F D 360 $0.00 21,078 D — — (F2) Represents shares withheld to satisfy Mr. Lynn's tax withholding obligation with respect to 913 shares of common stock issued upon the vesting of time based restricted stock units (including accrued dividend equivalent units payable in additional shares of stock) on March 15, 2024. Mr. Lynn retained the remaining 553 shares.
4 Common Common Stock 2024-03-15 M A 628 $0.00 21,706 D — —
5 Common Common Stock 2024-03-15 F D 2,779 $0.00 29,330 D — — (F6) Represents shares withheld to satisfy Mr. Lynn's tax withholding obligation with respect to 7,059 shares of common stock issued upon the vesting of performance based restricted stock units on March 15, 2024. Mr. Lynn retained the remaining 4,280 shares.
6 Common Common Stock 2024-03-15 M A 673 $0.00 22,131 D — —
7 Common Common Stock 2024-03-15 F D 265 $0.00 21,866 D — — (F4) Represents shares withheld to satisfy Mr. Lynn's tax withholding obligation with respect to 673 shares of common stock issued upon the vesting of time based restricted stock units (including accrued dividend equivalent units payable in additional shares of stock) on March 15, 2024. Mr. Lynn retained the remaining 408 shares.
8 Common Common Stock 2024-03-15 M A 5,250 $0.00 27,116 D — —
9 Common Common Stock 2024-03-15 F D 2,066 $0.00 25,050 D — — (F5) Represents shares withheld to satisfy Mr. Lynn's tax withholding obligation with respect to 5,250 shares of common stock issued upon the vesting of performance based restricted stock units on March 15, 2024. Mr. Lynn retained the remaining 3,184 shares.
10 Common Common Stock 2024-03-15 M A 7,059 $0.00 32,109 D — —
11 Common Common Stock 2024-03-15 M A 937 $0.00 20,894 D — —
12 Common Common Stock 2024-03-15 F D 248 $0.00 21,458 D — — (F3) Represents shares withheld to satisfy Mr. Lynn's tax withholding obligation with respect to 628 shares of common stock issued upon the vesting of time based restricted stock units (including accrued dividend equivalent units payable in additional shares of stock) on March 15, 2024. Mr. Lynn retained the remaining 380 shares.
13 Derivative Restricted Stock Units 2024-03-15 M D 5,250 $0.00 0 D $0.00 · 2024-03-15 to 2024-03-15 5,250 Common Stock
14 Derivative Restricted Stock Units 2024-03-15 M D 673 $0.00 2,017 D $0.00 · 2024-03-15 to 2027-03-15 673 Common Stock
15 Derivative Restricted Stock Units 2024-03-15 M D 628 $0.00 1,257 D $0.00 · 2024-03-15 to 2026-03-15 628 Common Stock
16 Derivative Restricted Stock Units 2024-03-15 M D 913 $0.00 916 D $0.00 · 2024-03-15 to 2025-03-15 913 Common Stock
17 Derivative Restricted Stock Units 2024-03-15 M D 937 $0.00 0 D $0.00 · 2024-03-15 to 2024-03-15 937 Common Stock
18 Derivative Restricted Stock Units 2024-03-15 M D 7,059 $0.00 0 D $0.00 · 2024-03-15 to 2024-03-15 7,059 Common Stock