GROVER VIKRAM P (CEO) purchased 335M shares of FOMO WORLDWIDE, INC. on the open market
Open‑market purchase worth $76.5K. The strongest form of insider conviction signal.
Common
Shares
+33.33M
Price / share
$0.00
Trade value
$10K
% of position
Common
Shares
+33.33M
Price / share
$0.00
Trade value
$10K
% of position
Common
Shares
+25M
Price / share
$0.00
Trade value
$5K
% of position
Common
Shares
+25M
Price / share
$0.00
Trade value
$5K
% of position
Common
Shares
+25M
Price / share
$0.00
Trade value
$5K
% of position
Common
Shares
+25M
Price / share
$0.00
Trade value
$5K
% of position
Common
Shares
+10M
Price / share
$0.00
Trade value
$2K
% of position
Common
Shares
+10M
Price / share
$0.00
Trade value
$2K
% of position
Common
Shares
+10M
Price / share
$0.00
Trade value
$2K
% of position
Common
Shares
+10M
Price / share
$0.00
Trade value
$2K
% of position
Common
Shares
+6.67M
Price / share
$0.00
Trade value
$2K
% of position
Common
Shares
+3.33M
Price / share
$0.00
Trade value
$1000.00
% of position
Common
Shares
+3.33M
Price / share
$0.00
Trade value
$1K
% of position
Common
Shares
+3.33M
Price / share
$0.00
Trade value
$1000.00
% of position
Common
Shares
+5M
Price / share
$0.00
Trade value
$1K
% of position
Common
Shares
+5M
Price / share
$0.00
Trade value
$1K
% of position
Common
Shares
+5M
Price / share
$0.00
Trade value
$1K
% of position
Common
Shares
+3.33M
Price / share
$0.00
Trade value
$1000.00
% of position
Common
Shares
+3.33M
Price / share
$0.00
Trade value
$1K
% of position
Common
Shares
+5M
Price / share
$0.00
Trade value
$1K
% of position
Common
Shares
+2.50M
Price / share
$0.00
Trade value
$500.00
% of position
Common
Shares
+1.67M
Price / share
$0.00
Trade value
$500.00
% of position
Common*
Shares
+50M
Price / share
$0.00
Trade value
$10K
% of position
Common
Shares
+5M
Price / share
$0.00
Trade value
$1K
% of position
Common
Shares
+5M
Price / share
$0.00
Trade value
$1K
% of position
Common
Shares
+3.33M
Price / share
$0.00
Trade value
$1000.00
% of position
Common
Shares
+5M
Price / share
$0.00
Trade value
$1K
% of position
Common
Shares
+2.50M
Price / share
$0.00
Trade value
$500.00
% of position
Common
Shares
+5M
Price / share
$0.00
Trade value
$1K
% of position
Common
Shares
+5M
Price / share
$0.00
Trade value
$1K
% of position
Net shares
+335M
Net value
$76.50K
| Security | Date | Type | Shares | Price / Share | Trade Value | % of Position | Held Before | Held After |
|---|---|---|---|---|---|---|---|---|
| Common Direct | 5/2/2023 | P · Purchase | +33.33M | $0.00 | $10K | New position | 0.00 | 33.33M |
| Common Direct | 5/3/2023 | P · Purchase | +33.33M | $0.00 | $10K | 100.0% | 33.33M | 66.67M |
| Common Direct | 5/4/2023 | P · Purchase | +25M | $0.00 | $5K | 37.5% | 66.67M | 91.67M |
| Common Direct | 5/5/2023 | P · Purchase | +25M | $0.00 | $5K | 27.3% | 91.67M | 116.67M |
| Common Direct | 5/11/2023 | P · Purchase | +25M | $0.00 | $5K | 21.4% | 116.67M | 141.67M |
| Common Direct | 5/19/2023 | P · Purchase | +25M | $0.00 | $5K | 17.6% | 141.67M | 166.67M |
| Common Direct | 5/23/2023 | P · Purchase | +10M | $0.00 | $2K | 6.0% | 166.67M | 176.67M |
| Common Direct | 5/24/2023 | P · Purchase | +10M | $0.00 | $2K | 5.7% | 176.67M | 186.67M |
| Common Direct | 5/25/2023 | P · Purchase | +10M | $0.00 | $2K | 5.4% | 186.67M | 196.67M |
| Common Direct | 5/26/2023 | P · Purchase | +10M | $0.00 | $2K | 5.1% | 196.67M | 206.67M |
| Common Direct | 5/30/2023 | P · Purchase | +6.67M | $0.00 | $2K | 3.2% | 206.67M | 213.33M |
| Common Direct | 5/31/2023 | P · Purchase | +3.33M | $0.00 | $1000.00 | 1.6% | 213.33M | 216.67M |
| Common Direct | 6/1/2023 | P · Purchase | +3.33M | $0.00 | $1K | 1.5% | 216.67M | 220M |
| Common Direct | 6/2/2023 | P · Purchase | +3.33M | $0.00 | $1000.00 | 1.5% | 220M | 223.33M |
| Common Direct | 6/6/2023 | P · Purchase | +5M | $0.00 | $1K | 2.2% | 223.33M | 228.33M |
| Common Direct | 6/9/2023 | P · Purchase | +5M | $0.00 | $1K | 2.2% | 228.33M | 233.33M |
| Common Direct | 6/13/2023 | P · Purchase | +5M | $0.00 | $1K | 2.1% | 233.33M | 238.33M |
| Common Direct | 6/14/2023 | P · Purchase | +3.33M | $0.00 | $1000.00 | 1.4% | 238.33M | 241.67M |
| Common Direct | 6/15/2023 | P · Purchase | +3.33M | $0.00 | $1K | 1.4% | 241.67M | 245M |
| Common Direct | 6/22/2023 | P · Purchase | +5M | $0.00 | $1K | 2.0% | 245M | 250M |
| Common Direct | 6/29/2023 | P · Purchase | +2.50M | $0.00 | $500.00 | 1.0% | 250M | 252.50M |
| Common Direct | 6/30/2023 | P · Purchase | +1.67M | $0.00 | $500.00 | 0.7% | 252.50M | 254.17M |
| Common* Direct | 6/30/2023 | P · Purchase | +50M | $0.00 | $10K | 19.7% | 254.17M | 304.17M |
| Common Direct | 7/19/2023 | P · Purchase | +5M | $0.00 | $1K | 1.6% | 304.17M | 309.17M |
| Common Direct | 7/20/2023 | P · Purchase | +5M | $0.00 | $1K | 1.6% | 309.17M | 314.17M |
| Common Direct | 7/20/2023 | P · Purchase | +3.33M | $0.00 | $1000.00 | 1.1% | 314.17M | 317.50M |
| Common Direct | 7/21/2023 | P · Purchase | +5M | $0.00 | $1K | 1.6% | 317.50M | 322.50M |
| Common Direct | 7/24/2023 | P · Purchase | +2.50M | $0.00 | $500.00 | 0.8% | 322.50M | 325M |
| Common Direct | 7/26/2023 | P · Purchase | +5M | $0.00 | $1K | 1.5% | 325M | 330M |
| Common Direct | 7/27/2023 | P · Purchase | +5M | $0.00 | $1K | 1.5% | 330M | 335M |
| Total | +335M | $76.50K | ||||||
Series A Preferred shares
Common
100M shares
Shares
+2M
Strike price
Held after
2M
Exercisable
—
Series B Preferred shares
Common
400M shares
Shares
+400K
Strike price
Held after
400K
Exercisable
—
Series C Preferred shares
Common
1M shares
Shares
+1M
Strike price
Held after
1M
Exercisable
—
Series B Preferred shares
Common
125M shares
Shares
+125K
Strike price
Held after
525K
Exercisable
—
Series B Preferred shares
Common
93.75M shares
Shares
+93.75K
Strike price
Held after
618.75K
Exercisable
—
Series B Preferred shares
Common
60M shares
Shares
+60K
Strike price
Held after
2.05M
Exercisable
—
Series B Preferred shares
Common
1.37B shares
Shares
+1.37M
Strike price
Held after
1.99M
Exercisable
—
Stock Options
Common
200M shares
Shares
+200M
Strike price
.0005
Held after
200M
Exercisable
—
Series B Preferred shares
Common
166.67M shares
Shares
+166.67K
Strike price
Held after
2.22M
Exercisable
—
Series A Preferred shares
Common
166.67M shares
Shares
+3.33M
Strike price
Held after
5.33M
Exercisable
—
Series B Preferred shares
Common
166.67M shares
Shares
+166.67K
Strike price
Held after
2.38M
Exercisable
—
| Security | Converts To | Date | Type | Shares | Strike Price | Exercisable | Held After |
|---|---|---|---|---|---|---|---|
| Series A Preferred shares Direct | Common100M shares | 3/6/2019 | A · Award | +2M | — | 2M | |
| Series B Preferred shares Direct | Common400M shares | 3/6/2019 | P · Purchase | +400K | — | 400K | |
| Series C Preferred shares Direct | Common1M shares | 3/6/2019 | A · Award | +1M | — | 1M | |
| Series B Preferred shares Direct | Common125M shares | 5/5/2019 | P · Purchase | +125K | — | 525K | |
| Series B Preferred shares Direct | Common93.75M shares | 8/26/2019 | P · Purchase | +93.75K | — | 618.75K | |
| Series B Preferred shares Direct | Common60M shares | 9/3/2020 | P · Purchase | +60K | — | 2.05M | |
| Series B Preferred shares Direct | Common1.37B shares | 10/9/2020 | P · Purchase | +1.37M | — | 1.99M | |
| Stock Options Direct | Common200M shares | 12/31/2020 | A · Award | +200M | .0005 | — | 200M |
| Series B Preferred shares Direct | Common166.67M shares | 4/19/2023 | P · Purchase | +166.67K | — | 2.22M | |
| Series A Preferred shares Direct | Common166.67M shares | 4/26/2023 | P · Purchase | +3.33M | — | 5.33M | |
| Series B Preferred shares Direct | Common166.67M shares | 5/1/2023 | P · Purchase | +166.67K | — | 2.38M |