PORAT RUTH (SVP, CFO) reported 3 transactions at ALPHABET INC.
Review the transaction codes below to understand the nature of each event.
Filed: 8/28/2026ACC: 0001193125-26-371794
-1.64K
Net shares
Net seller
$0.00
Total acquired
0
Open market trades
0B · 0S
3
Total transactions
1.62K acquired · 3.26K disposed
Non-Derivative Transactions3
Class C Google Stock Units
Direct
Shares
−1.62K
Price / share
—
Trade value
—
% of position
2.7%
8/25/2026
61.10K→59.47K
Class C Google Stock Units
Direct
Shares
−1.64K
Price / share
—
Trade value
—
% of position
2.8%
8/25/2026
59.47K→57.83K
Class C Capital Stock
Direct
Shares
+1.62K
Price / share
—
Trade value
—
% of position
0.2%
8/25/2026
914.81K→916.44K
Total
Net shares
−1.64K
Net value
$0.00
| Security | Date | Type | Shares | Price / Share | Trade Value | % of Position | Held Before | Held After |
|---|---|---|---|---|---|---|---|---|
| Class C Google Stock Units Direct | 8/25/2026 | C · Conversion | −1.62K | — | — | 2.7% | 61.10K | 59.47K |
| Class C Google Stock Units Direct | 8/25/2026 | F · Tax Withholding | −1.64K | — | — | 2.8% | 59.47K | 57.83K |
| Class C Capital Stock Direct | 8/25/2026 | C · Conversion | +1.62K | — | — | 0.2% | 914.81K | 916.44K |
| Total | −1.64K | $0.00 | ||||||
Derivative Transactions0
No derivative transactions reported
Non-Derivative Holdings (Post-Transaction)5
Class C Capital Stock
IndirectShares owned135.95K
Class C Capital Stock
IndirectShares owned120K
Class C Google Stock Units
DirectShares owned19.06K
Class C Capital Stock
IndirectShares owned921.70K
Class C Google Stock Units
DirectShares owned51.30K
Total
70.37K direct·1.18M indirect1.25M
| Security Title | Shares Owned | Ownership Type |
|---|---|---|
| Class C Capital Stock | 135.95K | Indirect |
| Class C Capital Stock | 120K | Indirect |
| Class C Google Stock Units | 19.06K | Direct |
| Class C Capital Stock | 921.70K | Indirect |
| Class C Google Stock Units | 51.30K | Direct |
| Total | 1.25M | 70.37K direct·1.18M indirect |
Derivative Holdings (Post-Transaction)0
No derivative holdings reported