Form 4 for LIVN LivaNova PLC
Accepted 2024-06-18 00:00:00 ET · period of report 2024-06-15 · accession 0001639691-24-000096 · 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 |
|---|---|---|---|---|---|---|---|---|---|---|---|
| D | 2024-06-18 | 2024-06-15 | LIVN | Shvartsburg Alex | CFO | M - OptEx | $0.00 | +1,576 | 19.4K | +9% | $0 |
| D | 2024-06-18 | 2024-06-15 | LIVN | Shvartsburg Alex | CFO | F - Tax | $52.68 | -670 | 18.7K | -3% | -$35.3K |
| D | 2024-06-18 | 2024-06-15 | LIVN | Shvartsburg Alex | CFO | M - OptEx | $0.00 | -1,576 | 0 | -100% | $0 |
Purchase Sale Sale after option exercise All abbreviations
Every reported transaction
| # | Table | Security | Date | Code | A/D | Shares | Price | Owned after | Own | Exercise / expiry | Underlying | Footnotes |
|---|---|---|---|---|---|---|---|---|---|---|---|---|
| 1 | Common | Ordinary Shares | 2024-06-15 | M | A | 1,576 | $0.00 | 19,399 | D | — | — | (F2) Each RSU represents a contingent right to receive one ordinary share of the Company, GBP 1.00 par value, in accordance with the terms of the Company's 2015 Incentive Award Plan ('the Plan') and the award agreement. (F1) Restricted stock units ('RSUs') settled into ordinary shares of LivaNova PLC ('the Company'), GBP 1.00 par value. |
| 2 | Common | Ordinary Shares | 2024-06-15 | F | D | 670 | $52.68 | 18,729 | D | — | — | (F3) The referenced shares were withheld from distribution to satisfy tax liability. |
| 3 | Derivative | Restricted Stock Units | 2024-06-15 | M | D | 1,576 | $0.00 | 0 | D | — · — to — | 1,576 Ordinary Shares | (F2) Each RSU represents a contingent right to receive one ordinary share of the Company, GBP 1.00 par value, in accordance with the terms of the Company's 2015 Incentive Award Plan ('the Plan') and the award agreement. (F4) On June 15, 2020, reporting person was granted RSUs subject to a four-year vesting schedule, the final vesting for which occurred June 15, 2024. |