Glen W. Brown - May 13, 2024 Form 4 Insider Report for Home Federal Bancorp, Inc. of Louisiana (HFBL)

Signature
/s/ Dawn L. Williams by P.O.A. for Glen W. Brown
Stock symbol
HFBL
Transactions as of
May 13, 2024
Transactions value $
$64,136
Form type
4
Date filed
5/15/2024, 04:31 PM
Previous filing
Nov 14, 2023
Next filing
May 20, 2024

Transactions Table

Type Sym Class Transaction Value $ Shares Change % * Price $ Shares After Date Ownership Footnotes
transaction HFBL Common Stock Options Exercise $66.2K +7K +129.73% $9.46 12.4K May 13, 2024 Direct F1
transaction HFBL Common Stock Sale -$1.13K -100 -0.81% $11.26 12.3K May 14, 2024 Direct F1
transaction HFBL Common Stock Sale -$958 -85 -0.69% $11.27 12.2K May 14, 2024 Direct F1
holding HFBL Common Stock 1.34K May 13, 2024 By 401(k) Plan F2
holding HFBL Common Stock 9.88K May 13, 2024 By ESOP

Derivative Securities (e.g., puts, calls, warrants, options, convertible securities)

Type Sym Class Transaction Value $ Shares Change % * Price $ Shares After Date Underlying Class Amount Exercise Price Ownership Footnotes
transaction HFBL Employee Stock Option (Right to Buy) Options Exercise $0 -7K -33.33% $0.00 14K May 13, 2024 Common Stock 7K $9.46 Direct F3
holding HFBL Employee Stock Option (Right to Buy) 4K May 13, 2024 Common Stock 4K $11.86 Direct F4
holding HFBL Employee Stock Option (Right to Buy) 4K May 13, 2024 Common Stock 4K $11.50 Direct F5
* An asterisk sign (*) next to the price indicates that the price is likely invalid.

Explanation of Responses:

Id Content
F1 Includes 800 shares granted pursuant to the 2019 Stock Incentive Plan which reflect the unvested portion of a grant award originally covering 2,000 shares that commenced vesting at a rate of 20% per year year on November 11, 2021.
F2 Represents units of the Issuer's pooled stock fund (the Fund) under the Home Federal Bank Employees' Savings and Profit Sharing Plan and Trust ("401(k) Plan"). The Fund consists of cash and Common Stock in amounts that vary from time to time. The reporting person's units representing the Issuer's Common Stock held in the Fund are based on a per unit price of $25.94 as of May 10, 2024. Includes units acquired in the 401(k) Plan since the last filed Form 4.
F3 The options vested at a rate of 20% per year commencing on July 31, 2015 and were fully vested and exercisable as of July 31, 2019.
F4 The options are vesting at a rate of 20% per year commencing on November 11, 2021.
F5 The options vested at a rate of 20% per year commencing on October 26, 2016 and were fully vested and exercisable as of October 26, 2020.