Type | Sym | Class | Transaction | Value $ | Shares | Change % | * Price $ | Shares After | Date | Ownership | Footnotes |
---|---|---|---|---|---|---|---|---|---|---|---|
transaction | CSL | Common Stock | Options Exercise | $272K | +4.19K | +11.67% | $64.80* | 40.1K | Jul 27, 2021 | Direct | |
transaction | CSL | Common Stock | Sale | -$834K | -4.19K | -10.45% | $199.04 | 35.9K | Jul 27, 2021 | Direct | F1 |
transaction | CSL | Common Stock | Options Exercise | $326K | +4.46K | +12.42% | $73.08 | 40.4K | Jul 27, 2021 | Direct | |
transaction | CSL | Common Stock | Sale | -$889K | -4.46K | -11.05% | $199.23 | 35.9K | Jul 27, 2021 | Direct | F2 |
transaction | CSL | Common Stock | Options Exercise | $375K | +4.06K | +11.29% | $92.46 | 40K | Jul 27, 2021 | Direct | |
transaction | CSL | Common Stock | Sale | -$809K | -4.06K | -10.14% | $199.54 | 35.9K | Jul 27, 2021 | Direct | F3 |
transaction | CSL | Common Stock | Options Exercise | $237K | +2.84K | +7.9% | $83.31 | 38.8K | Jul 27, 2021 | Direct | |
transaction | CSL | Common Stock | Sale | -$567K | -2.84K | -7.33% | $199.85 | 35.9K | Jul 27, 2021 | Direct | F4 |
transaction | CSL | Common Stock | Options Exercise | $148K | +1.77K | +4.93% | $83.31 | 37.7K | Jul 28, 2021 | Direct | |
transaction | CSL | Common Stock | Sale | -$353K | -1.77K | -4.7% | $199.28 | 35.9K | Jul 28, 2021 | Direct | F5 |
transaction | CSL | Common Stock | Options Exercise | $631K | +5.86K | +16.3% | $107.73 | 41.8K | Jul 28, 2021 | Direct | |
transaction | CSL | Common Stock | Sale | -$1.17M | -5.86K | -14.02% | $199.28 | 35.9K | Jul 28, 2021 | Direct | F5 |
transaction | CSL | Common Stock | Options Exercise | $693K | +6.38K | +17.75% | $108.72 | 42.3K | Jul 28, 2021 | Direct | |
transaction | CSL | Common Stock | Sale | -$1.27M | -6.38K | -15.07% | $199.28 | 35.9K | Jul 28, 2021 | Direct | F5 |
transaction | CSL | Common Stock | Sale | -$717K | -3.6K | -10.01% | $199.41 | 32.3K | Jul 28, 2021 | Direct | F6 |
Type | Sym | Class | Transaction | Value $ | Shares | Change % | * Price $ | Shares After | Date | Underlying Class | Amount | Exercise Price | Ownership | Footnotes |
---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
transaction | CSL | Employee Stock Option (Right to Buy) | Options Exercise | -4.19K | -100% | 0 | Jul 27, 2021 | Common Stock | 4.19K | $64.80 | Direct | F7, F8 | ||
transaction | CSL | Employee Stock Option (Right to Buy) | Options Exercise | -4.46K | -100% | 0 | Jul 27, 2021 | Common Stock | 4.46K | $73.08 | Direct | F8, F9 | ||
transaction | CSL | Employee Stock Option (Right to Buy) | Options Exercise | -4.06K | -100% | 0 | Jul 27, 2021 | Common Stock | 4.06K | $92.46 | Direct | F8, F10 | ||
transaction | CSL | Employee Stock Option (Right to Buy) | Options Exercise | -2.84K | -61.58% | 1.77K | Jul 27, 2021 | Common Stock | 2.84K | $83.31 | Direct | F8, F11 | ||
transaction | CSL | Employee Stock Option (Right to Buy) | Options Exercise | -1.77K | -100% | 0 | Jul 28, 2021 | Common Stock | 1.77K | $83.31 | Direct | F8, F11 | ||
transaction | CSL | Employee Stock Option (Right to Buy) | Options Exercise | -5.86K | -100% | 0 | Jul 28, 2021 | Common Stock | 5.86K | $107.73 | Direct | F8, F12 | ||
transaction | CSL | Employee Stock Option (Right to Buy) | Options Exercise | -6.38K | -100% | 0 | Jul 28, 2021 | Common Stock | 6.38K | $108.72 | Direct | F8, F13 |
Id | Content |
---|---|
F1 | This transaction was executed in multiple trades at prices ranging from $199.00 to $199.14. The price reported above reflects the weighted average sales price. The reporting person hereby undertakes to provide to the SEC staff, the issuer or a security holder of the issuer, upon request, full information regarding the number of shares sold at each separate price. |
F2 | This transaction was executed in multiple trades at prices ranging from $199.14 to $199.39. The price reported above reflects the weighted average sales price. The reporting person hereby undertakes to provide to the SEC staff, the issuer or a security holder of the issuer, upon request, full information regarding the number of shares sold at each separate price. |
F3 | This transaction was executed in multiple trades at prices ranging from $199.39 to $199.62. The price reported above reflects the weighted average sales price. The reporting person hereby undertakes to provide to the SEC staff, the issuer or a security holder of the issuer, upon request, full information regarding the number of shares sold at each separate price. |
F4 | This transaction was executed in multiple trades at prices ranging from $199.62 to $200.49. The price reported above reflects the weighted average sales price. The reporting person hereby undertakes to provide to the SEC staff, the issuer or a security holder of the issuer, upon request, full information regarding the number of shares sold at each separate price. |
F5 | This transaction was executed in multiple trades at prices ranging from $199.00 to $200.12. The price reported above reflects the weighted average sales price. The reporting person hereby undertakes to provide to the SEC staff, the issuer or a security holder of the issuer, upon request, full information regarding the number of shares sold at each separate price. |
F6 | This transaction was executed in multiple trades at prices ranging from $198.71 to $199.37. The price reported above reflects the weighted average sales price. The reporting person hereby undertakes to provide to the SEC staff, the issuer or a security holder of the issuer, upon request, full information regarding the number of shares sold at each separate price. |
F7 | The options vested in three equal annual installments beginning on February 6, 2014. |
F8 | The transaction is the exercise of a derivative security. |
F9 | The options vested in three equal annual installments beginning on February 5, 2015. |
F10 | The options vested in three equal annual installments beginning on February 4, 2016. |
F11 | The options vested in three equal annual installments beginning on February 3, 2017. |
F12 | The options vested in three equal annual installments beginning on February 8, 2018. |
F13 | The option vested in three equal annual installments beginning on February 6, 2019. |