InsiderTrades

Form 4 for HIVE HIVE Digital Technologies Ltd.

Accepted 2026-07-02 15:37:15 ET · period of report 2026-05-01 · accession 0001062993-26-003495 · 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
DMI 2026-07-02 15:37 2026-05-01 HIVE Tavares Craig COO, BUZZ HPC-Pres M - OptEx — +175.0K 175.0K New —
DMI 2026-07-02 15:37 2026-05-01 HIVE Tavares Craig COO, BUZZ HPC-Pres M - OptEx $0.00 +25.0K 590.0K +4% $0

Purchase Sale Sale after option exercise All abbreviations

Every reported transaction

#TableSecurityDateCodeA/DSharesPriceOwned afterOwnExercise / expiryUnderlyingFootnotes
1 Common Common Shares 2026-05-01 M A 100,000 — 100,000 I By 12832577 Canada Inc. — — (F1) Reflects restricted share units ("RSUs") issued pursuant to the Issuer's Restricted Stock Unit Plan (the "RSU Plan") that, upon vesting and settlement converted into shares of Issuer common stock on a one-for-one basis. (F2) These securities are held by 12832577 Canada Inc., a corporation that is wholly controlled by Mr. Tavares.
2 Common Common Shares 2026-05-01 M A 25,000 — 125,000 I By 12832577 Canada Inc. — — (F1) Reflects restricted share units ("RSUs") issued pursuant to the Issuer's Restricted Stock Unit Plan (the "RSU Plan") that, upon vesting and settlement converted into shares of Issuer common stock on a one-for-one basis. (F2) These securities are held by 12832577 Canada Inc., a corporation that is wholly controlled by Mr. Tavares.
3 Common Common Shares 2026-05-01 M A 50,000 — 175,000 I By 12832577 Canada Inc. — — (F1) Reflects restricted share units ("RSUs") issued pursuant to the Issuer's Restricted Stock Unit Plan (the "RSU Plan") that, upon vesting and settlement converted into shares of Issuer common stock on a one-for-one basis. (F2) These securities are held by 12832577 Canada Inc., a corporation that is wholly controlled by Mr. Tavares.
4 Derivative Restricted Share Units 2026-05-01 M D 100,000 $0.00 465,000 I By 12832577 Canada Inc. — · — to — 100,000 Common Stock (F1) Reflects restricted share units ("RSUs") issued pursuant to the Issuer's Restricted Stock Unit Plan (the "RSU Plan") that, upon vesting and settlement converted into shares of Issuer common stock on a one-for-one basis. (F3) Reflects 100,000 RSUs that vested on November 5, 2025. These RSUs were settled and converted into common shares of the Issuer on May 1, 2026, in accordance with the Issuer's RSU Plan. (F3) Reflects 100,000 RSUs that vested on November 5, 2025. These RSUs were settled and converted into common shares of the Issuer on May 1, 2026, in accordance with the Issuer's RSU Plan. (F7) In addition to the RSUs awarded on June 30, 2026, the RSUs reported under Column 9 include RSUs that were previously reported. The underlying shares and vesting schedules are as follows: (i) 200,000 vest in two equal installments of 100,000 on each of November 5, 2026 and November 5, 2027; (ii) 50,000 will vest on July 8, 2026; (iii) 70,000 will vest on October 31, 2026 and (iv) 70,000 will vest on March 16, 2027. (F2) These securities are held by 12832577 Canada Inc., a corporation that is wholly controlled by Mr. Tavares.
5 Derivative Restricted Share Units 2026-05-01 M D 25,000 $0.00 440,000 I By 12832577 Canada Inc. — · — to — 25,000 Common Stock (F1) Reflects restricted share units ("RSUs") issued pursuant to the Issuer's Restricted Stock Unit Plan (the "RSU Plan") that, upon vesting and settlement converted into shares of Issuer common stock on a one-for-one basis. (F4) Reflects 25,000 RSUs that vested on February 14, 2026. These RSUs were settled and converted into common shares of the Issuer on May 1, 2026, in accordance with the Issuer's RSU Plan. (F4) Reflects 25,000 RSUs that vested on February 14, 2026. These RSUs were settled and converted into common shares of the Issuer on May 1, 2026, in accordance with the Issuer's RSU Plan. (F7) In addition to the RSUs awarded on June 30, 2026, the RSUs reported under Column 9 include RSUs that were previously reported. The underlying shares and vesting schedules are as follows: (i) 200,000 vest in two equal installments of 100,000 on each of November 5, 2026 and November 5, 2027; (ii) 50,000 will vest on July 8, 2026; (iii) 70,000 will vest on October 31, 2026 and (iv) 70,000 will vest on March 16, 2027. (F2) These securities are held by 12832577 Canada Inc., a corporation that is wholly controlled by Mr. Tavares.
6 Derivative Restricted Share Units 2026-05-01 M D 50,000 $0.00 390,000 I By 12832577 Canada Inc. — · — to — 50,000 Common Stock (F1) Reflects restricted share units ("RSUs") issued pursuant to the Issuer's Restricted Stock Unit Plan (the "RSU Plan") that, upon vesting and settlement converted into shares of Issuer common stock on a one-for-one basis. (F5) Reflects 50,000 RSUs that vested on April 17, 2026. These RSUs were settled and converted into common shares of the Issuer on May 1, 2026, in accordance with the Issuer's RSU Plan. (F5) Reflects 50,000 RSUs that vested on April 17, 2026. These RSUs were settled and converted into common shares of the Issuer on May 1, 2026, in accordance with the Issuer's RSU Plan. (F7) In addition to the RSUs awarded on June 30, 2026, the RSUs reported under Column 9 include RSUs that were previously reported. The underlying shares and vesting schedules are as follows: (i) 200,000 vest in two equal installments of 100,000 on each of November 5, 2026 and November 5, 2027; (ii) 50,000 will vest on July 8, 2026; (iii) 70,000 will vest on October 31, 2026 and (iv) 70,000 will vest on March 16, 2027. (F2) These securities are held by 12832577 Canada Inc., a corporation that is wholly controlled by Mr. Tavares.
7 Derivative Restricted Share Units 2026-05-01 M A 200,000 $0.00 590,000 I By 12832577 Canada Inc. — · — to — 200,000 Common Stock (F1) Reflects restricted share units ("RSUs") issued pursuant to the Issuer's Restricted Stock Unit Plan (the "RSU Plan") that, upon vesting and settlement converted into shares of Issuer common stock on a one-for-one basis. (F6) Reflects 200,000 RSUs that were awarded on June 30, 2026 and will vest in full on June 30, 2027. (F6) Reflects 200,000 RSUs that were awarded on June 30, 2026 and will vest in full on June 30, 2027. (F7) In addition to the RSUs awarded on June 30, 2026, the RSUs reported under Column 9 include RSUs that were previously reported. The underlying shares and vesting schedules are as follows: (i) 200,000 vest in two equal installments of 100,000 on each of November 5, 2026 and November 5, 2027; (ii) 50,000 will vest on July 8, 2026; (iii) 70,000 will vest on October 31, 2026 and (iv) 70,000 will vest on March 16, 2027. (F2) These securities are held by 12832577 Canada Inc., a corporation that is wholly controlled by Mr. Tavares.