| Type | Sym | Class | Transaction | Value $ | Shares | Change % | * Price $ | Shares After | Date | Ownership | Footnotes |
|---|---|---|---|---|---|---|---|---|---|---|---|
| transaction | ZWS | Common Stock | Options Exercise | $492,954 | +19,129 | +48% | $25.77 | 58,759 | 12 May 2021 | Direct | |
| transaction | ZWS | Common Stock | Sale | $1,660,466 | -32,986 | -56% | $50.34 | 25,773 | 12 May 2021 | Direct | F1 |
| transaction | ZWS | Common Stock | Sale | $30,609 | -600 | -2.3% | $51.01 | 25,173 | 12 May 2021 | Direct | F2 |
| transaction | ZWS | Common Stock | Sale | $54,352 | -1,084 | -4.3% | $50.14 | 24,089 | 13 May 2021 | Direct | F3 |
| transaction | ZWS | Common Stock | Sale | $483,847 | -9,672 | -40% | $50.03 | 14,417 | 13 May 2021 | Direct | F4 |
| holding | ZWS | Common Stock | 675 | 12 May 2021 | By 401(k) Plan | F5 |
| Type | Sym | Class | Transaction | Value $ | Shares | Change % | * Price $ | Shares After | Date | Underlying Class | Amount | Exercise Price | Ownership | Footnotes |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| transaction | ZWS | Stock Option (right to buy) | Options Exercise | $0 | -19,129 | -69% | $0.000000 | 8,711 | 12 May 2021 | Common Stock | 19,129 | $25.77 | Direct | F6 |
| holding | ZWS | Stock Option (right to buy) | 49,142 | 12 May 2021 | Common Stock | 49,142 | $19.70 | Direct | F6 | |||||
| holding | ZWS | Stock Option (right to buy) | 29,321 | 12 May 2021 | Common Stock | 29,321 | $23.13 | Direct | F6 | |||||
| holding | ZWS | Stock Option (right to buy) | 11,792 | 12 May 2021 | Common Stock | 11,792 | $28.91 | Direct | F7 |
| Id | Content |
|---|---|
| F1 | This transaction was executed in multiple trades at prices ranging from $50.00 to $50.95. The price reported above reflects the weighted average sale price. The Reporting Person hereby undertakes to provide upon request to the SEC staff, the Issuer or a security holder of the Issuer full information regarding the number of shares and prices at which the transaction was effectuated. |
| F2 | This transaction was executed in multiple trades at prices ranging from $51.00 to $51.09. The price reported above reflects the weighted average sale price. The Reporting Person hereby undertakes to provide upon request to the SEC staff, the Issuer or a security holder of the Issuer full information regarding the number of shares and prices at which the transaction was effectuated. |
| F3 | Shares were sold to satisfy tax withholding obligations and related fees in connection with the vesting of restricted stock units. |
| F4 | This transaction was executed in multiple trades at prices ranging from $49.75 to $50.06. The price reported above reflects the weighted average sale price. The Reporting Person hereby undertakes to provide upon request to the SEC staff, the Issuer or a security holder of the Issuer full information regarding the number of shares and prices at which the transaction was effectuated. |
| F5 | Based on information from the trustee of the 401(k) Plan. |
| F6 | Option fully vested. |
| F7 | The original option vests in three annual installments beginning on the date listed above. |