SIMMONS DAVID S (Chief Executive Officer) sold 10.0% of their position (77.06K shares) of PPD, INC. on the open market
Open‑market sale worth $2.93M — a moderate reduction. Review remaining holdings and any 10b5‑1 plan disclosures.
S · 1 sale
Filed: 2/16/2021ACC: 0000899243-21-006668
DirectorOfficer· Chief Executive Officer
Since Feb 2020
+690.26K
Net shares
Net buyer
$2.93M
Total sold
1
Open market trades
0B · 1S
3
Total transactions
767.33K acquired · 77.06K disposed
Non-Derivative Transactions1
Common Stock
Indirect
Shares
−77.06K
Price / share
$38.01
Trade value
$2.93M
% of position
10.0%
2/12/2021
770.76K→693.70K
Total
Net shares
−77.06K
Net value
-$2.93M
| Security | Date | Type | Shares | Price / Share | Trade Value | % of Position | Held Before | Held After |
|---|---|---|---|---|---|---|---|---|
| Common Stock Indirect | 2/12/2021 | S · Sale | −77.06K | $38.01 | $2.93M | 10.0% | 770.76K | 693.70K |
| Total | −77.06K | -$2.93M | ||||||
Derivative Transactions2
Stock Options (Right to Buy)
Direct
Converts to
Common Stock
423.98K shares
Shares
+423.98K
Strike price
10.59
Held after
1.71M
Exercisable
—
2/11/2021
Stock Options (Right to Buy)
Direct
Converts to
Common Stock
343.35K shares
Shares
+343.35K
Strike price
37.22
Held after
343.35K
Exercisable
—
2/11/2021
| Security | Converts To | Date | Type | Shares | Strike Price | Exercisable | Held After |
|---|---|---|---|---|---|---|---|
| Stock Options (Right to Buy) Direct | Common Stock423.98K shares | 2/11/2021 | A · Award | +423.98K | 10.59 | — | 1.71M |
| Stock Options (Right to Buy) Direct | Common Stock343.35K shares | 2/11/2021 | A · Award | +343.35K | 37.22 | — | 343.35K |
Non-Derivative Holdings (Post-Transaction)2
Common Stock
DirectShares owned670K
Common Stock
IndirectShares owned120K
Total
670K direct·120K indirect790K
| Security Title | Shares Owned | Ownership Type |
|---|---|---|
| Common Stock | 670K | Direct |
| Common Stock | 120K | Indirect |
| Total | 790K | 670K direct·120K indirect |
Derivative Holdings (Post-Transaction)0
No derivative holdings reported