| Type | Sym | Class | Transaction | Value $ | Shares | Change % | * Price $ | Shares After | Date | Ownership | Footnotes |
|---|---|---|---|---|---|---|---|---|---|---|---|
| transaction | RIG | Registered Shares | Options Exercise | $0 | +69,610 | +24% | $0.000000 | 355,981 | 10 Feb 2022 | Direct | F1 |
| transaction | RIG | Registered Shares | Tax liability | $99,391 | -27,532 | -7.7% | $3.61 | 328,499 | 11 Feb 2022 | Direct | F2 |
| Type | Sym | Class | Transaction | Value $ | Shares | Change % | * Price $ | Shares After | Date | Underlying Class | Amount | Exercise Price | Ownership | Footnotes |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| transaction | RIG | Restricted Units | Award | $0 | +404,624 | $0.000000 | 404,624 | 10 Feb 2022 | Registered Shares | 404,624 | $0.000000 | Direct | F3 |
| Id | Content |
|---|---|
| F1 | Deferred Units awarded on February 7, 2019, vested on February 10, 2022, upon satisfaction of the applicable performance measures pursuant to the Issuer's 2019-2021 performance cycle. |
| F2 | Shares sold upon vesting to satisfy tax withholding obligations. |
| F3 | The Restricted Units were acquired on February 10, 2022, by the reporting person pursuant to the Issuer's long-term incentive plan. The restricted share units vest as follows: 134,874 on March 1, 2023; 134,875 on March 1, 2024; and 134,875 on March 1, 2025. |