SC US (TTGP), LTD. reported 12 transactions at ETHOS TECHNOLOGIES INC.
Review the transaction codes below to understand the nature of each event.
Class A Common Stock
Shares
+8.03M
Price / share
—
Trade value
—
% of position
Class A Common Stock
Shares
+338K
Price / share
—
Trade value
—
% of position
Class A Common Stock
Shares
+121.54K
Price / share
—
Trade value
—
% of position
Class A Common Stock
Shares
+1.24M
Price / share
—
Trade value
—
% of position
Class A Common Stock
Shares
+2.13M
Price / share
—
Trade value
—
% of position
Class A Common Stock
Shares
+142.62K
Price / share
—
Trade value
—
% of position
Class A Common Stock
Shares
−8.03M
Price / share
—
Trade value
—
% of position
Class A Common Stock
Shares
−338K
Price / share
—
Trade value
—
% of position
Class A Common Stock
Shares
−121.54K
Price / share
—
Trade value
—
% of position
Class A Common Stock
Shares
−1.24M
Price / share
—
Trade value
—
% of position
Class A Common Stock
Shares
−2.13M
Price / share
—
Trade value
—
% of position
Class A Common Stock
Shares
−142.62K
Price / share
—
Trade value
—
% of position
Net shares
+0.00
Net value
$0.00
| Security | Date | Type | Shares | Price / Share | Trade Value | % of Position | Held Before | Held After |
|---|---|---|---|---|---|---|---|---|
| Class A Common Stock Indirect | 1/30/2026 | C · Conversion | +8.03M | — | — | New position | 0.00 | 8.03M |
| Class A Common Stock Indirect | 1/30/2026 | C · Conversion | +338K | — | — | New position | 0.00 | 338K |
| Class A Common Stock Indirect | 1/30/2026 | C · Conversion | +121.54K | — | — | New position | 0.00 | 121.54K |
| Class A Common Stock Indirect | 1/30/2026 | C · Conversion | +1.24M | — | — | New position | 0.00 | 1.24M |
| Class A Common Stock Indirect | 1/30/2026 | C · Conversion | +2.13M | — | — | New position | 0.00 | 2.13M |
| Class A Common Stock Indirect | 1/30/2026 | C · Conversion | +142.62K | — | — | New position | 0.00 | 142.62K |
| Class A Common Stock Indirect | 1/30/2026 | D · Disposition | −8.03M | — | — | New position | 8.03M | 0.00 |
| Class A Common Stock Indirect | 1/30/2026 | D · Disposition | −338K | — | — | New position | 338K | 0.00 |
| Class A Common Stock Indirect | 1/30/2026 | D · Disposition | −121.54K | — | — | New position | 121.54K | 0.00 |
| Class A Common Stock Indirect | 1/30/2026 | D · Disposition | −1.24M | — | — | New position | 1.24M | 0.00 |
| Class A Common Stock Indirect | 1/30/2026 | D · Disposition | −2.13M | — | — | New position | 2.13M | 0.00 |
| Class A Common Stock Indirect | 1/30/2026 | D · Disposition | −142.62K | — | — | New position | 142.62K | 0.00 |
| Total | +0.00 | $0.00 | ||||||
Series A-2 Preferred Stock
Class A Common Stock
1.90M shares
Shares
−1.90M
Strike price
Held after
0.00
Exercisable
—
Series A-2 Preferred Stock
Class A Common Stock
79.97K shares
Shares
−79.97K
Strike price
Held after
0.00
Exercisable
—
Series A-2 Preferred Stock
Class A Common Stock
28.73K shares
Shares
−28.73K
Strike price
Held after
0.00
Exercisable
—
Series A-2 Preferred Stock
Class A Common Stock
291.88K shares
Shares
−291.88K
Strike price
Held after
0.00
Exercisable
—
Series A-2 Preferred Stock
Class A Common Stock
142.62K shares
Shares
−142.62K
Strike price
Held after
0.00
Exercisable
—
Series A Preferred Stock
Class A Common Stock
4.77M shares
Shares
−4.77M
Strike price
Held after
0.00
Exercisable
—
Series A Preferred Stock
Class A Common Stock
200.94K shares
Shares
−200.94K
Strike price
Held after
0.00
Exercisable
—
Series A Preferred Stock
Class A Common Stock
72.17K shares
Shares
−72.17K
Strike price
Held after
0.00
Exercisable
—
Series A Preferred Stock
Class A Common Stock
733.31K shares
Shares
−733.31K
Strike price
Held after
0.00
Exercisable
—
Series B Preferred Stock
Class A Common Stock
1.12M shares
Shares
−1.12M
Strike price
Held after
0.00
Exercisable
—
Series B Preferred Stock
Class A Common Stock
47.40K shares
Shares
−47.40K
Strike price
Held after
0.00
Exercisable
—
Series B Preferred Stock
Class A Common Stock
17.02K shares
Shares
−17.02K
Strike price
Held after
0.00
Exercisable
—
Series B Preferred Stock
Class A Common Stock
172.99K shares
Shares
−172.99K
Strike price
Held after
0.00
Exercisable
—
Series C Preferred Stock
Class A Common Stock
180.99K shares
Shares
−180.99K
Strike price
Held after
0.00
Exercisable
—
Series C Preferred Stock
Class A Common Stock
7.63K shares
Shares
−7.63K
Strike price
Held after
0.00
Exercisable
—
Series C Preferred Stock
Class A Common Stock
2.74K shares
Shares
−2.74K
Strike price
Held after
0.00
Exercisable
—
Series C Preferred Stock
Class A Common Stock
27.84K shares
Shares
−27.84K
Strike price
Held after
0.00
Exercisable
—
Series C Preferred Stock
Class A Common Stock
1.92M shares
Shares
−1.92M
Strike price
Held after
0.00
Exercisable
—
Series D Preferred Stock
Class A Common Stock
56.27K shares
Shares
−56.27K
Strike price
Held after
0.00
Exercisable
—
Series D Preferred Stock
Class A Common Stock
2.06K shares
Shares
−2.06K
Strike price
Held after
0.00
Exercisable
—
Series D Preferred Stock
Class A Common Stock
878.00 shares
Shares
−878.00
Strike price
Held after
0.00
Exercisable
—
Series D Preferred Stock
Class A Common Stock
12.27K shares
Shares
−12.27K
Strike price
Held after
0.00
Exercisable
—
Series D Preferred Stock
Class A Common Stock
214.46K shares
Shares
−214.46K
Strike price
Held after
0.00
Exercisable
—
Class B Common Stock
Class A Common Stock
8.03M shares
Shares
+8.03M
Strike price
Held after
8.03M
Exercisable
—
Class B Common Stock
Class A Common Stock
338K shares
Shares
+338K
Strike price
Held after
338K
Exercisable
—
Class B Common Stock
Class A Common Stock
121.54K shares
Shares
+121.54K
Strike price
Held after
121.54K
Exercisable
—
Class B Common Stock
Class A Common Stock
1.24M shares
Shares
+1.24M
Strike price
Held after
1.24M
Exercisable
—
Class B Common Stock
Class A Common Stock
2.13M shares
Shares
+2.13M
Strike price
Held after
2.13M
Exercisable
—
Class B Common Stock
Class A Common Stock
142.62K shares
Shares
+142.62K
Strike price
Held after
142.62K
Exercisable
—
| Security | Converts To | Date | Type | Shares | Strike Price | Exercisable | Held After |
|---|---|---|---|---|---|---|---|
| Series A-2 Preferred Stock Indirect | Class A Common Stock1.90M shares | 1/30/2026 | C · Conversion | −1.90M | — | 0.00 | |
| Series A-2 Preferred Stock Indirect | Class A Common Stock79.97K shares | 1/30/2026 | C · Conversion | −79.97K | — | 0.00 | |
| Series A-2 Preferred Stock Indirect | Class A Common Stock28.73K shares | 1/30/2026 | C · Conversion | −28.73K | — | 0.00 | |
| Series A-2 Preferred Stock Indirect | Class A Common Stock291.88K shares | 1/30/2026 | C · Conversion | −291.88K | — | 0.00 | |
| Series A-2 Preferred Stock Indirect | Class A Common Stock142.62K shares | 1/30/2026 | C · Conversion | −142.62K | — | 0.00 | |
| Series A Preferred Stock Indirect | Class A Common Stock4.77M shares | 1/30/2026 | C · Conversion | −4.77M | — | 0.00 | |
| Series A Preferred Stock Indirect | Class A Common Stock200.94K shares | 1/30/2026 | C · Conversion | −200.94K | — | 0.00 | |
| Series A Preferred Stock Indirect | Class A Common Stock72.17K shares | 1/30/2026 | C · Conversion | −72.17K | — | 0.00 | |
| Series A Preferred Stock Indirect | Class A Common Stock733.31K shares | 1/30/2026 | C · Conversion | −733.31K | — | 0.00 | |
| Series B Preferred Stock Indirect | Class A Common Stock1.12M shares | 1/30/2026 | C · Conversion | −1.12M | — | 0.00 | |
| Series B Preferred Stock Indirect | Class A Common Stock47.40K shares | 1/30/2026 | C · Conversion | −47.40K | — | 0.00 | |
| Series B Preferred Stock Indirect | Class A Common Stock17.02K shares | 1/30/2026 | C · Conversion | −17.02K | — | 0.00 | |
| Series B Preferred Stock Indirect | Class A Common Stock172.99K shares | 1/30/2026 | C · Conversion | −172.99K | — | 0.00 | |
| Series C Preferred Stock Indirect | Class A Common Stock180.99K shares | 1/30/2026 | C · Conversion | −180.99K | — | 0.00 | |
| Series C Preferred Stock Indirect | Class A Common Stock7.63K shares | 1/30/2026 | C · Conversion | −7.63K | — | 0.00 | |
| Series C Preferred Stock Indirect | Class A Common Stock2.74K shares | 1/30/2026 | C · Conversion | −2.74K | — | 0.00 | |
| Series C Preferred Stock Indirect | Class A Common Stock27.84K shares | 1/30/2026 | C · Conversion | −27.84K | — | 0.00 | |
| Series C Preferred Stock Indirect | Class A Common Stock1.92M shares | 1/30/2026 | C · Conversion | −1.92M | — | 0.00 | |
| Series D Preferred Stock Indirect | Class A Common Stock56.27K shares | 1/30/2026 | C · Conversion | −56.27K | — | 0.00 | |
| Series D Preferred Stock Indirect | Class A Common Stock2.06K shares | 1/30/2026 | C · Conversion | −2.06K | — | 0.00 | |
| Series D Preferred Stock Indirect | Class A Common Stock878.00 shares | 1/30/2026 | C · Conversion | −878.00 | — | 0.00 | |
| Series D Preferred Stock Indirect | Class A Common Stock12.27K shares | 1/30/2026 | C · Conversion | −12.27K | — | 0.00 | |
| Series D Preferred Stock Indirect | Class A Common Stock214.46K shares | 1/30/2026 | C · Conversion | −214.46K | — | 0.00 | |
| Class B Common Stock Indirect | Class A Common Stock8.03M shares | 1/30/2026 | A · Award | +8.03M | — | 8.03M | |
| Class B Common Stock Indirect | Class A Common Stock338K shares | 1/30/2026 | A · Award | +338K | — | 338K | |
| Class B Common Stock Indirect | Class A Common Stock121.54K shares | 1/30/2026 | A · Award | +121.54K | — | 121.54K | |
| Class B Common Stock Indirect | Class A Common Stock1.24M shares | 1/30/2026 | A · Award | +1.24M | — | 1.24M | |
| Class B Common Stock Indirect | Class A Common Stock2.13M shares | 1/30/2026 | A · Award | +2.13M | — | 2.13M | |
| Class B Common Stock Indirect | Class A Common Stock142.62K shares | 1/30/2026 | A · Award | +142.62K | — | 142.62K |