ALMSTEAD NEIL GREGORY (Chief Technical Ops Officer) sold 43.7% of their position (46.77K shares) of PTC THERAPEUTICS, INC. on the open market
Open‑market sale worth $4.09M — a major position exit. Review remaining holdings and any 10b5‑1 plan disclosures.
Common Stock
Shares
+811.00
Price / share
$38.10
Trade value
$30.90K
% of position
Common Stock
Shares
−426.00
Price / share
$85.28
Trade value
$36.33K
% of position
Common Stock
Shares
−385.00
Price / share
$86.34
Trade value
$33.24K
% of position
Common Stock
Shares
+18.88K
Price / share
$38.10
Trade value
$719.18K
% of position
Common Stock
Shares
−8.79K
Price / share
$85.35
Trade value
$749.89K
% of position
Common Stock
Shares
−10.09K
Price / share
$86.32
Trade value
$870.97K
% of position
Common Stock
Shares
+2.47K
Price / share
$39.42
Trade value
$97.53K
% of position
Common Stock
Shares
−2.47K
Price / share
$87.03
Trade value
$215.31K
% of position
Common Stock
Shares
+24.61K
Price / share
$39.42
Trade value
$970.24K
% of position
Common Stock
Shares
−3.96K
Price / share
$87.17
Trade value
$344.84K
% of position
Common Stock
Shares
−11.37K
Price / share
$89.03
Trade value
$1.01M
% of position
Common Stock
Shares
−9.29K
Price / share
$89.44
Trade value
$830.72K
% of position
Net shares
+0.00
Net value
-$2.28M
| Security | Date | Type | Shares | Price / Share | Trade Value | % of Position | Held Before | Held After |
|---|---|---|---|---|---|---|---|---|
| Common Stock Direct | 7/6/2026 | M · Option Exercise | +811.00 | $38.10 | $30.90K | 1.3% | 60.30K | 61.11K |
| Common Stock Direct | 7/6/2026 | S · Sale | −426.00 | $85.28 | $36.33K | 0.7% | 61.11K | 60.68K |
| Common Stock Direct | 7/6/2026 | S · Sale | −385.00 | $86.34 | $33.24K | 0.6% | 60.68K | 60.30K |
| Common Stock Direct | 7/6/2026 | M · Option Exercise | +18.88K | $38.10 | $719.18K | 31.3% | 60.30K | 79.17K |
| Common Stock Direct | 7/6/2026 | S · Sale | −8.79K | $85.35 | $749.89K | 11.1% | 79.17K | 70.39K |
| Common Stock Direct | 7/6/2026 | S · Sale | −10.09K | $86.32 | $870.97K | 14.3% | 70.39K | 60.30K |
| Common Stock Direct | 7/6/2026 | M · Option Exercise | +2.47K | $39.42 | $97.53K | 4.1% | 60.30K | 62.77K |
| Common Stock Direct | 7/6/2026 | S · Sale | −2.47K | $87.03 | $215.31K | 3.9% | 62.77K | 60.30K |
| Common Stock Direct | 7/7/2026 | M · Option Exercise | +24.61K | $39.42 | $970.24K | 40.8% | 60.30K | 84.91K |
| Common Stock Direct | 7/7/2026 | S · Sale | −3.96K | $87.17 | $344.84K | 4.7% | 84.91K | 80.96K |
| Common Stock Direct | 7/7/2026 | S · Sale | −11.37K | $89.03 | $1.01M | 14.0% | 80.96K | 69.59K |
| Common Stock Direct | 7/7/2026 | S · Sale | −9.29K | $89.44 | $830.72K | 13.3% | 69.59K | 60.30K |
| Total | +0.00 | -$2.28M | ||||||
Stock Option (Right to Buy)
Common Stock
811.00 shares
Shares
−811.00
Strike price
38.10
Held after
18.88K
Exercisable
—
Stock Option (Right to Buy)
Common Stock
18.88K shares
Shares
−18.88K
Strike price
38.10
Held after
0.00
Exercisable
—
Stock Option (Right to Buy)
Common Stock
2.47K shares
Shares
−2.47K
Strike price
39.42
Held after
33.68K
Exercisable
—
Stock Option (Right to Buy)
Common Stock
24.61K shares
Shares
−24.61K
Strike price
39.42
Held after
9.06K
Exercisable
—
| Security | Converts To | Date | Type | Shares | Strike Price | Exercisable | Held After |
|---|---|---|---|---|---|---|---|
| Stock Option (Right to Buy) Direct | Common Stock811.00 shares | 7/6/2026 | M · Option Exercise | −811.00 | 38.10 | — | 18.88K |
| Stock Option (Right to Buy) Direct | Common Stock18.88K shares | 7/6/2026 | M · Option Exercise | −18.88K | 38.10 | — | 0.00 |
| Stock Option (Right to Buy) Direct | Common Stock2.47K shares | 7/6/2026 | M · Option Exercise | −2.47K | 39.42 | — | 33.68K |
| Stock Option (Right to Buy) Direct | Common Stock24.61K shares | 7/7/2026 | M · Option Exercise | −24.61K | 39.42 | — | 9.06K |
Common Stock
Indirect| Security Title | Shares Owned | Ownership Type |
|---|---|---|
| Common Stock | 2.90K | Indirect |
| Total | 2.90K | 2.90K indirect |