GLANCE NATALIE (SVP, Engineering) sold 3.0% of their position (5.29K shares) of DUOLINGO, INC. on the open market
Open‑market sale worth $598.0K — a minor trim. Review remaining holdings and any 10b5‑1 plan disclosures.
S · 3 sales
Filed: 5/19/2026ACC: 0001628280-26-036518
Officer· SVP, Engineering
Since Jul 2021
+33.77K
Net shares
Net buyer
$598.0K
Total sold
3
Open market trades
0B · 3S
4
Total transactions
39.06K acquired · 5.29K disposed
Non-Derivative Transactions4
Class A Common Stock
Direct
Shares
+39.06K
Price / share
$112.06
Trade value
$4.38M
% of position
28.0%
5/15/2026
139.63K→178.69K
Class A Common Stock
Direct
Shares
−1.93K
Price / share
$112.16
Trade value
$216.36K
% of position
1.1%
5/15/2026
178.69K→176.76K
Class A Common Stock
Direct
Shares
−2.06K
Price / share
$113.21
Trade value
$233.22K
% of position
1.2%
5/18/2026
176.76K→174.70K
Class A Common Stock
Direct
Shares
−1.30K
Price / share
$114.19
Trade value
$148.44K
% of position
0.7%
5/18/2026
174.70K→173.40K
Total
Net shares
+33.77K
Net value
$3.78M
| Security | Date | Type | Shares | Price / Share | Trade Value | % of Position | Held Before | Held After |
|---|---|---|---|---|---|---|---|---|
| Class A Common Stock Direct | 5/15/2026 | A · Award | +39.06K | $112.06 | $4.38M | 28.0% | 139.63K | 178.69K |
| Class A Common Stock Direct | 5/15/2026 | S · Sale | −1.93K | $112.16 | $216.36K | 1.1% | 178.69K | 176.76K |
| Class A Common Stock Direct | 5/18/2026 | S · Sale | −2.06K | $113.21 | $233.22K | 1.2% | 176.76K | 174.70K |
| Class A Common Stock Direct | 5/18/2026 | S · Sale | −1.30K | $114.19 | $148.44K | 0.7% | 174.70K | 173.40K |
| Total | +33.77K | $3.78M | ||||||
Derivative Transactions0
No derivative transactions reported
Non-Derivative Holdings (Post-Transaction)1
Class A Common Stock
IndirectShares owned130.00
Total
130.00 indirect130.00
| Security Title | Shares Owned | Ownership Type |
|---|---|---|
| Class A Common Stock | 130.00 | Indirect |
| Total | 130.00 | 130.00 indirect |
Derivative Holdings (Post-Transaction)0
No derivative holdings reported