Form 4 for RIG Transocean Ltd.
Accepted 2026-03-03 00:00:00 ET · period of report 2026-03-01 · accession 0002030852-26-000004 · 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 |
|---|---|---|---|---|---|---|---|---|---|---|---|
| M | 2026-03-03 | 2026-03-01 | RIG | Pack Jason | SVP, CAO | M - OptEx | $6.25 | +69.6K | 235.6K | +42% | +$434.8K |
| 2026-03-03 | 2026-03-03 | RIG | Pack Jason | SVP, CAO | F - Tax | $6.12 | -28.0K | 262.1K | -10% | -$171.1K |
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 | Registered Shares | 2026-03-01 | M | A | 32,324 | $6.25 | 290,065 | D | — | — | (F4) Restricted Units, which are 1-for-1 share equivalents, acquired on February 13, 2025, pursuant to the Issuer's long-term incentive plan. One third of such restricted units vested on March 1, 2026, resulting in the right of the reporting person to receive the registered shares. The remaining restricted share units vest as follows: 32,324 on March 1, 2027 and 32,324 on March 1, 2028. |
| 2 | Common | Registered Shares | 2026-03-03 | F | D | 27,962 | $6.12 | 262,103 | D | — | — | (F5) Shares sold upon vesting to satisfy tax withholding obligations. |
| 3 | Common | Registered Shares | 2026-03-01 | M | A | 2,901 | $6.25 | 257,741 | D | — | — | (F3) Restricted Units, which are 1-for-1 share equivalents, acquired on May 16, 2024, pursuant to the Issuer's long-term incentive plan. One third of such restricted units vested on March 1, 2026, resulting in the right of the reporting person to receive the registered shares. The remaining restricted share units vest as follows: 2,901 on March 1, 2027 |
| 4 | Common | Registered Shares | 2026-03-01 | M | A | 19,210 | $6.25 | 254,840 | D | — | — | (F2) Restricted Units, which are 1-for-1 share equivalents, acquired on February 8, 2024, pursuant to the Issuer's long-term incentive plan. One third of such restricted units vested on March 1, 2026, resulting in the right of the reporting person to receive the registered shares. The remaining restricted share units vest as follows: 19,210 on March 1, 2027. |
| 5 | Common | Registered Shares | 2026-03-01 | M | A | 15,134 | $6.25 | 235,630 | D | — | — | (F1) Restricted Units, which are 1-for-1 share equivalents, acquired on February 9, 2023, pursuant to the Issuer's long-term incentive plan. One third of such restricted share units vested on March 1, 2026, resulting in the right of the reporting person to receive the registered shares. |