| Type | Sym | Class | Transaction | Value $ | Shares | Change % | * Price $ | Shares After | Date | Ownership | Footnotes |
|---|---|---|---|---|---|---|---|---|---|---|---|
| transaction | LGF.B | Class A Common Shares | Purchase | $456,000 | +50,000 | +13% | $9.12 | 429,357 | 07 Mar 2024 | Direct | F1 |
| transaction | LGF.B | Class B Common Shares | Purchase | $428,000 | +50,000 | +2.5% | $8.56 | 2,088,988 | 07 Mar 2024 | Direct | F2, F3 |
| Id | Content |
|---|---|
| F1 | The price reported in a weighted average price. These shares were purchased in multiple transactions at prices ranging from $8.975 to $9.31. The reporting person undertakes to provide full information regarding the number of shares and prices at which the transactions were effected upon request of the SEC staff, the Issuer or a security holder of the Issuer. |
| F2 | The price reported in a weighted average price. These shares were purchased in multiple transactions at prices ranging from $8.43 to $8.77. The reporting person undertakes to provide full information regarding the number of shares and prices at which the transactions were effected upon request of the SEC staff, the Issuer or a security holder of the Issuer. |
| F3 | Amount includes the following restricted share units granted by the Issuer, payable upon vesting in an equal number of Class B common shares of the Issuer: (i) 193,622 restricted share units that are scheduled to vest in two equal annual installments beginning July 27, 2024; and (ii) 599,520 restricted share units that are scheduled to vest in three equal annual installments beginning July 3, 2024. |