InsiderTrades

Form 4 for LIVN LivaNova PLC

Accepted 2025-12-17 00:00:00 ET · period of report 2025-12-15 · accession 0001639691-25-000162 · 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 2025-12-17 2025-12-15 LIVN PODLOGAR SUSAN M Dir M - OptEx $0.00 +2,355 2,355 New $0
D 2025-12-17 2025-12-15 LIVN PODLOGAR SUSAN M Dir F - Tax $63.06 -269 2,086 -11% -$17.0K
D 2025-12-17 2025-12-15 LIVN PODLOGAR SUSAN M Dir M - OptEx $0.00 -2,355 0 -100% $0

Purchase Sale Sale after option exercise All abbreviations

Every reported transaction

#TableSecurityDateCodeA/DSharesPriceOwned afterOwnExercise / expiryUnderlyingFootnotes
1 Common Ordinary Shares 2025-12-15 M A 2,355 $0.00 2,355 D — — (F1) Reporting person had vested restricted stock units ("RSUs") settled in ordinary shares of LivaNova PLC (the "Company"), GBP 1.00 par value.
2 Common Ordinary Shares 2025-12-15 F D 269 $63.06 2,086 D — — (F2) Shares withheld to satisfy tax liability.
3 Derivative Restricted Stock Units 2025-12-15 M D 2,355 $0.00 0 D — · — to — 2,355 Ordinary Shares (F3) Each Restricted Stock Unit ("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 LivaNova PLC 2015 Incentive Award Plan (the "Plan") and the award agreement. (F4) On December 15, 2024, reporting person was granted RSUs subject to a one-year vesting schedule, which occurred on December 15, 2025. The RSUs were subject to forfeiture prior to vesting in accordance with the terms of the Plan and the award agreement.