Type | Sym | Class | Transaction | Value $ | Shares | Change % | * Price $ | Shares After | Date | Ownership | Footnotes |
---|---|---|---|---|---|---|---|---|---|---|---|
transaction | PARAA,PARA | Class B common stock | Options Exercise | $0 | +18.4K | +44.91% | $0.00 | 59.3K | Mar 1, 2025 | Direct | F1, F2 |
transaction | PARAA,PARA | Class B common stock | Options Exercise | $0 | +8.18K | +13.78% | $0.00 | 67.5K | Mar 1, 2025 | Direct | F3 |
transaction | PARAA,PARA | Class B common stock | Options Exercise | $0 | +4.38K | +6.49% | $0.00 | 71.9K | Mar 1, 2025 | Direct | F4 |
transaction | PARAA,PARA | Class B common stock | Tax liability | -$179K | -15.8K | -21.98% | $11.36 | 56.1K | Mar 1, 2025 | Direct | F5 |
holding | PARAA,PARA | Class B common stock | 414 | Mar 1, 2025 | By 401(k) |
Type | Sym | Class | Transaction | Value $ | Shares | Change % | * Price $ | Shares After | Date | Underlying Class | Amount | Exercise Price | Ownership | Footnotes |
---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
transaction | PARAA,PARA | Restricted Share Units | Options Exercise | $0 | -4.38K | -50% | $0.00 | 4.38K | Mar 1, 2025 | Class B common stock | 4.38K | Direct | F4, F6 | |
transaction | PARAA,PARA | Restricted Share Units | Options Exercise | $0 | -8.18K | -50% | $0.00 | 8.17K | Mar 1, 2025 | Class B common stock | 8.18K | Direct | F3, F6 | |
transaction | PARAA,PARA | Restricted Share Units | Options Exercise | $0 | -18.4K | -33.33% | $0.00 | 36.8K | Mar 1, 2025 | Class B common stock | 18.4K | Direct | F1, F6 |
Id | Content |
---|---|
F1 | The shares identified in Table I were issued on March 1, 2025, upon vesting of the first of three equal annual installments of the Restricted Share Units ("RSUs") identified in Table II, which were initially granted on March 1, 2024. On February 28, 2025, the last business day preceding the date of vesting, the closing price of the Class B common stock on The NASDAQ Global Select Market was $11.36 per share. |
F2 | Includes shares acquired periodically pursuant to a dividend reinvestment program meeting the requirements of Rule 16a-11. |
F3 | The shares identified in Table I were issued on March 1, 2025, upon vesting of the second of three equal annual installments of the RSUs identified in Table II, which were initially granted on March 1, 2023. On February 28, 2025, the last business day preceding the date of vesting, the closing price of the Class B common stock on The NASDAQ Global Select Market was $11.36 per share. |
F4 | The shares identified in Table I were issued on March 1, 2025, upon vesting of the third of four equal annual installments of the RSUs identified in Table II, which were initially granted on March 1, 2022. On February 28, 2025, the last business day preceding the date of vesting, the closing price of the Class B common stock on The NASDAQ Global Select Market was $11.36 per share. |
F5 | These shares were withheld by the Issuer to satisfy tax liability incident to the vesting of, and delivery of shares underlying, the RSUs, and were not actually sold or otherwise disposed of in an open-market transaction. |
F6 | Granted under the Issuer's long-term incentive plan for no consideration. |