InsiderTrades

Form 4 for WTW Willis Towers Watson

Accepted 2024-02-29 00:00:00 ET · period of report 2024-02-27 · accession 0001127602-24-007655 · 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
2024-02-29 2024-02-27 WTW Hess Carl Aaron CEO, Dir A - Grant $0.00 +4,213 74.9K +6% $0
2024-02-29 2024-02-28 WTW Hess Carl Aaron CEO, Dir F - Tax $275.06 -159 74.8K -0.2% -$43.7K

Purchase Sale Sale after option exercise All abbreviations

Every reported transaction

#TableSecurityDateCodeA/DSharesPriceOwned afterOwnExercise / expiryUnderlyingFootnotes
1 Common Ordinary Shares, nominal value $0.000304635 per share 2024-02-27 A A 4,213 $0.00 74,915.86 D — — (F1) Represents the number of performance-based restricted share units earned upon the certification of the achievement of certain pre-established performance goals based on three-year annualized total shareholder return during the three-year performance period that ended on December 31, 2023, each of which earned unit represents the right to receive one ordinary share of the Issuer upon the satisfaction of the service-based vesting requirement on July 20, 2024, subject to the terms of the award agreement. This number also includes the number of ordinary shares of the Issuer that are issuable pursuant to the dividend equivalent right under the terms of the award agreement providing for the accrual of dividends in the form of additional restricted share units that vest and are payable at the same time as the underlying performance-based restricted share units.
2 Common Ordinary Shares, nominal value $0.000304635 per share 2024-02-28 F D 159 $275.06 74,756.86 D — — (F2) Represents the number of ordinary shares of the Issuer withheld by the Issuer from the ordinary shares that are eventually eligible to be issued upon the vesting date of July 20, 2024 to satisfy the reporting person's FICA and income tax withholding obligations relating to the number of performance-based restricted share units that were deemed to be earned as of the performance goal attainment level certification date and to be eligible to vest on the vesting date and based on the reporting person's retirement-vesting eligibility status as of the performance goal attainment level certification date.