InsiderTrades

Form 4 for LILA Liberty Latin America Ltd.

Accepted 2025-03-18 00:00:00 ET · period of report 2025-03-14 · accession 0001712184-25-000063 · 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 2025-03-18 2025-03-15 LILA NOYES CHRISTOPHER J SVP, CFO F - Tax $6.67 -99.9K 524.1K -16% -$666.3K
DM 2025-03-18 2025-03-15 LILA NOYES CHRISTOPHER J SVP, CFO M - OptEx — +193.0K 545.5K +55% —
DM 2025-03-18 2025-03-14 LILA NOYES CHRISTOPHER J SVP, CFO A - Grant $0.00 +637.5K 149.5K New $0
DM 2025-03-18 2025-03-15 LILA NOYES CHRISTOPHER J SVP, CFO M - OptEx $0.00 -193.0K 0 -100% $0

Purchase Sale Sale after option exercise All abbreviations

Every reported transaction

#TableSecurityDateCodeA/DSharesPriceOwned afterOwnExercise / expiryUnderlyingFootnotes
1 Common Class A Common Shares 2025-03-15 F D 8,985 $6.69 200,956 D — —
2 Common Class A Common Shares 2025-03-15 M A 17,361 — 209,941 D — — (F1) Each Restricted Share Unit represents a right to receive one share of the Issuer's Class A common shares or Class C common shares, as the case may be, at settlement.
3 Common Class C Common Shares 2025-03-15 F D 27,166 $6.66 549,395 D — —
4 Common Class C Common Shares 2025-03-15 M A 52,494 — 576,561 D — — (F1) Each Restricted Share Unit represents a right to receive one share of the Issuer's Class A common shares or Class C common shares, as the case may be, at settlement.
5 Common Class A Common Shares 2025-03-15 M A 20,729 — 221,685 D — — (F1) Each Restricted Share Unit represents a right to receive one share of the Issuer's Class A common shares or Class C common shares, as the case may be, at settlement.
6 Common Class A Common Shares 2025-03-15 F D 10,728 $6.69 210,957 D — —
7 Common Class A Common Shares 2025-03-15 M A 26,248 — 237,205 D — — (F1) Each Restricted Share Unit represents a right to receive one share of the Issuer's Class A common shares or Class C common shares, as the case may be, at settlement.
8 Common Class A Common Shares 2025-03-15 F D 13,584 $6.69 223,621 D — —
9 Common Class C Common Shares 2025-03-15 M A 34,722 — 522,033 D — — (F1) Each Restricted Share Unit represents a right to receive one share of the Issuer's Class A common shares or Class C common shares, as the case may be, at settlement.
10 Common Class C Common Shares 2025-03-15 F D 17,969 $6.66 504,064 D — —
11 Common Class C Common Shares 2025-03-15 M A 41,459 — 545,523 D — — (F1) Each Restricted Share Unit represents a right to receive one share of the Issuer's Class A common shares or Class C common shares, as the case may be, at settlement.
12 Common Class C Common Shares 2025-03-15 F D 21,456 $6.66 524,067 D — —
13 Derivative Share Appreciation Rights A 2025-03-14 A A 137,741 $0.00 137,741 D $6.69 · — to 2035-03-14 137,741 Class A Common Shares (F2) The Share Appreciation Rights vest in three equal annual installments commencing on March 15 2026, 2027, 2028.
14 Derivative Share Appreciation Rights C 2025-03-14 A A 275,482 $0.00 275,482 D $6.66 · — to 2035-03-14 275,482 Class C Common Shares (F2) The Share Appreciation Rights vest in three equal annual installments commencing on March 15 2026, 2027, 2028.
15 Derivative Restricted Share Units A 2025-03-14 A A 74,773 — 74,773 D — · — to — 74,773 Class A Common Shares (F1) Each Restricted Share Unit represents a right to receive one share of the Issuer's Class A common shares or Class C common shares, as the case may be, at settlement. (F3) The Restricted Share Units vest in three equal annual installments on March 15, 2026, 2027, 2028.
16 Derivative Restricted Share Units C 2025-03-14 A A 149,545 — 149,545 D — · — to — 149,545 Class C Common Shares (F1) Each Restricted Share Unit represents a right to receive one share of the Issuer's Class A common shares or Class C common shares, as the case may be, at settlement. (F3) The Restricted Share Units vest in three equal annual installments on March 15, 2026, 2027, 2028.
17 Derivative Restricted Share Units C 2025-03-15 M D 52,494 $0.00 104,986 D — · — to — 52,494 Class C Common Shares (F1) Each Restricted Share Unit represents a right to receive one share of the Issuer's Class A common shares or Class C common shares, as the case may be, at settlement. (F6) The RSUs vest in three equal annual installments on March 15 of 2025, 2026 and 2027.
18 Derivative Restricted Share Units A 2025-03-15 M D 20,729 $0.00 20,729 D — · — to — 20,729 Class A Common Shares (F1) Each Restricted Share Unit represents a right to receive one share of the Issuer's Class A common shares or Class C common shares, as the case may be, at settlement. (F5) The RSUs vest in three equal annual installments on March 15 of 2024, 2025 and 2026.
19 Derivative Restricted Share Units A 2025-03-15 M D 26,248 $0.00 52,492 D — · — to — 26,248 Class A Common Shares (F1) Each Restricted Share Unit represents a right to receive one share of the Issuer's Class A common shares or Class C common shares, as the case may be, at settlement. (F6) The RSUs vest in three equal annual installments on March 15 of 2025, 2026 and 2027.
20 Derivative Restricted Share Units C 2025-03-15 M D 34,722 $0.00 0 D — · — to — 34,722 Class C Common Shares (F1) Each Restricted Share Unit represents a right to receive one share of the Issuer's Class A common shares or Class C common shares, as the case may be, at settlement. (F4) The RSUs vest in three equal annual installments on March 15 of 2023, 2024 and 2025.
21 Derivative Restricted Share Units C 2025-03-15 M D 41,459 $0.00 41,459 D — · — to — 41,459 Class C Common Shares (F1) Each Restricted Share Unit represents a right to receive one share of the Issuer's Class A common shares or Class C common shares, as the case may be, at settlement. (F5) The RSUs vest in three equal annual installments on March 15 of 2024, 2025 and 2026.
22 Derivative Restricted Share Units A 2025-03-15 M D 17,361 $0.00 0 D — · — to — 17,361 Class A Common Shares (F1) Each Restricted Share Unit represents a right to receive one share of the Issuer's Class A common shares or Class C common shares, as the case may be, at settlement. (F4) The RSUs vest in three equal annual installments on March 15 of 2023, 2024 and 2025.