MCGLADE DAVID sold 1.85M shares of INTELSAT S.A. on the open market
Open‑market sale worth $588.0K. Review remaining holdings and any 10b5‑1 plan disclosures.
Common Shares
Shares
−464.24K
Price / share
$0.41
Trade value
$188.85K
% of position
Common Shares
Shares
−453.49K
Price / share
$0.43
Trade value
$194.45K
% of position
Common Shares
Shares
−100K
Price / share
$0.40
Trade value
$40.28K
% of position
Common Shares
Shares
−275.08K
Price / share
$0.26
Trade value
$71.60K
% of position
Common Shares
Shares
−555.72K
Price / share
$0.17
Trade value
$92.80K
% of position
Net shares
−1.85M
Net value
-$588K
| Security | Date | Type | Shares | Price / Share | Trade Value | % of Position | Held Before | Held After |
|---|---|---|---|---|---|---|---|---|
| Common Shares Indirect | 5/18/2020 | S · Sale | −464.24K | $0.41 | $188.85K | 62.8% | 739.32K | 275.08K |
| Common Shares Indirect | 5/18/2020 | S · Sale | −453.49K | $0.43 | $194.45K | New position | 453.49K | 0.00 |
| Common Shares Indirect | 5/18/2020 | S · Sale | −100K | $0.40 | $40.28K | New position | 100K | 0.00 |
| Common Shares Indirect | 5/19/2020 | S · Sale | −275.08K | $0.26 | $71.60K | New position | 275.08K | 0.00 |
| Common Shares Indirect | 5/19/2020 | S · Sale | −555.72K | $0.17 | $92.80K | New position | 555.72K | 0.00 |
| Total | −1.85M | -$588K | ||||||
Options (Right to Buy)
DirectUnderlying shares
253.62K
Shares owned
253.62K
Exercise price
3.77
Expiration
—
Exercise window
—
Options (Right to Buy)
DirectUnderlying shares
700K
Shares owned
700K
Exercise price
4.16
Expiration
—
Exercise window
—
Options (Right to Buy)
DirectUnderlying shares
909.99K
Shares owned
909.99K
Exercise price
18.00
Expiration
—
Exercise window
—
Restricted Share Units
DirectUnderlying shares
9K
Shares owned
9K
Exercise price
Expiration
—
Exercise window
—
Options (Right to Buy)
DirectUnderlying shares
177K
Shares owned
17.70K
Exercise price
3.77
Expiration
—
Exercise window
—
Underlying
2.05M
Owned
1.89M
| Security | Underlying | Exercise Price | Exercise Window | Expiration | Underlying Shares | Shares Owned |
|---|---|---|---|---|---|---|
| Options (Right to Buy) Direct | Common Shares | 3.77 | — | — | 253.62K | 253.62K |
| Options (Right to Buy) Direct | Common Shares | 4.16 | — | — | 700K | 700K |
| Options (Right to Buy) Direct | Common Shares | 18.00 | — | — | 909.99K | 909.99K |
| Restricted Share Units Direct | Common Shares | — | — | 9K | 9K | |
| Options (Right to Buy) Direct | Common Shares | 3.77 | — | — | 177K | 17.70K |
| Total | 2.05M | 1.89M | ||||