Padraig ORiordain - 01 Jan 2025 Form 3 Insider Report for Flutter Entertainment plc (FLUT)

Signature
/s/ Fiona Gildea, Attorney-in-Fact
Issuer symbol
FLUT
Transactions as of
01 Jan 2025
Net transactions value
$0
Form type
3
Filing time
02 Jan 2025, 16:06:01 UTC
Next filing
01 May 2025

Transactions Table

Type Sym Class Transaction Value $ Shares Change % * Price $ Shares After Date Ownership Footnotes
holding FLUT Ordinary Shares 168 01 Jan 2025 Direct

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
holding FLUT Nil Cost Options (Right to Buy) 01 Jan 2025 Ordinary Shares 8,162 $0.000000 Direct F1
holding FLUT Nil Cost Options (Right to Buy) 01 Jan 2025 Ordinary Shares 1,481 $0.000000 Direct F2
holding FLUT Nil Cost Options (Right to Buy) 01 Jan 2025 Ordinary Shares 3,194 $0.000000 Direct F3
holding FLUT Nil Cost Options (Right to Buy) 01 Jan 2025 Ordinary Shares 5,361 $0.000000 Direct F3
holding FLUT Nil Cost Options (Right to Buy) 01 Jan 2025 Ordinary Shares 10,267 $0.000000 Direct F4, F5
holding FLUT Sharesave Options (Right to Buy) 01 Jan 2025 Ordinary Shares 146 $127.22 Direct F6, F7
holding FLUT Restricted Stock Units 01 Jan 2025 Ordinary Shares 7,350 $0.000000 Direct F8, F9
holding FLUT Restricted Stock Units 01 Jan 2025 Ordinary Shares 5,856 $0.000000 Direct F9, F10
holding FLUT Restricted Stock Units 01 Jan 2025 Ordinary Shares 7,174 Direct F11, F12
* An asterisk sign (*) next to the price indicates that the price is likely invalid.

Explanation of Responses:

Id Content
F1 These options vest in two equal annual installments beginning on March 4, 2025.
F2 These options vest on March 18, 2025.
F3 These options are fully vested.
F4 These options vest on October 1, 2025.
F5 The number of options reported herein may be increased by up to 50% upon the achievement of certain performance criteria.
F6 Reflects options acquired under the Issuer's Save As You Earn program. These options vest on December 1, 2026.
F7 The exercise price for these options are denominated in British sterling pounds at a price of GBP 122.786966 per share. The exercise price reported herein was converted from Euros to United States dollars at a conversion rate of GBP 1.00 to U.S. $1.0361. The exercise price is the actual Euros amount regardless of the exchange rate on the date of exercise.
F8 These restricted stock units ("RSUs") vest on October 1, 2026.
F9 The number of RSUs reported herein may be increased by up to 50% upon the achievement of certain performance criteria.
F10 These RSUs vest on September 1, 2027.
F11 These RSUs vest as follows: (a) 4,944 vest in two equal annual installments beginning on April 2, 2027, and (b) 2,230 vest in two equal annual installments beginning on March 7, 2026.
F12 Each RSU represents the contingent right to receive one ordinary share.

Remarks:

Title: Chief Legal Officer Exhibit 24 - Power of Attorney