InsiderTrades

Form 4 for PRGO PERRIGO Co plc

Accepted 2022-03-08 00:00:00 ET · period of report 2022-03-04 · accession 0001585364-22-000030 · 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 2022-03-08 2022-03-04 PRGO Willis Robert EVP, CHRO F - Tax $37.23 -5,209 6,690 -44% -$193.9K
DM 2022-03-08 2022-03-04 PRGO Willis Robert EVP, CHRO M - OptEx $37.23 +5,012 7,240 +225% +$186.6K
DM 2022-03-08 2022-03-04 PRGO Willis Robert EVP, CHRO A - Grant $37.23 +4,999 7,812 +178% +$186.1K
D 2022-03-08 2022-03-07 PRGO Willis Robert EVP, CHRO A - Grant — +6,489 6,489 New —
DM 2022-03-08 2022-03-04 PRGO Willis Robert EVP, CHRO M - OptEx — -5,012 2,558 -66% —

Purchase Sale Sale after option exercise All abbreviations

Every reported transaction

#TableSecurityDateCodeA/DSharesPriceOwned afterOwnExercise / expiryUnderlyingFootnotes
1 Common Ordinary Shares 2022-03-04 F D 286 $37.23 6,954 D — —
2 Common Ordinary Shares 2022-03-04 M A 1,650 $37.23 8,604 D — —
3 Common Ordinary Shares 2022-03-04 F D 858 $37.23 7,746 D — —
4 Common Ordinary Shares 2022-03-04 M A 580 $37.23 8,326 D — —
5 Common Ordinary Shares 2022-03-04 F D 302 $37.23 8,024 D — —
6 Common Ordinary Shares 2022-03-04 M A 952 $37.23 8,976 D — —
7 Common Ordinary Shares 2022-03-04 F D 496 $37.23 8,480 D — —
8 Common Ordinary Shares 2022-03-04 M A 1,280 $37.23 9,760 D — —
9 Common Ordinary Shares 2022-03-04 F D 666 $37.23 9,094 D — —
10 Common Ordinary Shares 2022-03-04 A A 2,843 $37.23 7,135 D — —
11 Common Ordinary Shares 2022-03-04 F D 1,479 $37.23 5,656 D — —
12 Common Ordinary Shares 2022-03-04 A A 2,156 $37.23 7,812 D — —
13 Common Ordinary Shares 2022-03-04 F D 1,122 $37.23 6,690 D — —
14 Common Ordinary Shares 2022-03-04 M A 550 $37.23 7,240 D — —
15 Derivative Restricted Stock Units 2022-03-07 A A 6,489 — 6,489 D — · — to — 6,489 Ordinary Shares (F7) Each Restricted Stock Unit represents a contingent right to receive one Perrigo Company plc ordinary share. (F12) Each Restricted Stock Unit represents a contingent right to receive one Perrigo Company plc ordinary share. Vesting in 3 equal annual installments beginning 7 March 2023.
16 Derivative Restricted Stock Units 2022-03-04 M D 952 — 952 D — · — to — 952 Ordinary Shares (F7) Each Restricted Stock Unit represents a contingent right to receive one Perrigo Company plc ordinary share. (F10) Each Restricted Stock Unit represents a contingent right to receive one Perrigo Company plc ordinary share. Vesting in 3 equal annual installments beginning 5 March 2021.
17 Derivative Restricted Stock Units 2022-03-04 M D 580 — 0 D — · — to — 580 Ordinary Shares (F7) Each Restricted Stock Unit represents a contingent right to receive one Perrigo Company plc ordinary share. (F9) Each Restricted Stock Unit represents a contingent right to receive one Perrigo Company plc ordinary share. Vesting on 6 March 2022.
18 Derivative Restricted Stock Units 2022-03-04 M D 1,650 — 0 D — · — to — 1,650 Ordinary Shares (F7) Each Restricted Stock Unit represents a contingent right to receive one Perrigo Company plc ordinary share. (F9) Each Restricted Stock Unit represents a contingent right to receive one Perrigo Company plc ordinary share. Vesting on 6 March 2022.
19 Derivative Restricted Stock Units 2022-03-04 M D 550 — 0 D — · — to — 550 Ordinary Shares (F7) Each Restricted Stock Unit represents a contingent right to receive one Perrigo Company plc ordinary share. (F8) Each Restricted Stock Unit represents a contingent right to receive one Perrigo Company plc ordinary share. Vesting in 3 equal annual installments beginning 6 March 2020.
20 Derivative Restricted Stock Units 2022-03-04 M D 1,280 — 2,558 D — · — to — 1,280 Ordinary Shares (F7) Each Restricted Stock Unit represents a contingent right to receive one Perrigo Company plc ordinary share. (F11) Each Restricted Stock Unit represents a contingent right to receive one Perrigo Company plc ordinary share. Vesting in 3 equal annual installments beginning 5 March 2022.