William F. Concannon - 16 Jul 2026 Form 4 Insider Report for CRA INTERNATIONAL, INC. (CRAI)

Source evidence Original filing metadata and source links for verification. 4 source fields
SEC form
4
Accepted by SEC
11 Aug 2026, 17:18:47 UTC
Prior SEC filing
21 Jul 2025
Source filing
View source filing
Reporting owner 1 detail
Reporting owner signature
Delia J. Makhlouta, by power of attorney

Key filing fact

William F. Concannon filed Form 4 for CRA INTERNATIONAL, INC. (CRAI) on 11 Aug 2026.

Key facts

  • This page summarizes William F. Concannon's Form 4 filing for CRA INTERNATIONAL, INC. (CRAI).
  • 0 reported transactions and 0 derivative rows are listed below.
  • Accepted by SEC: 11 Aug 2026, 17:18.

Change

  • Previous filing in this sequence was filed on 21 Jul 2025.
  • Current net transaction value: $0.

Research use

  • This tells you what this filing adds before you inspect full transaction and derivative tables.
  • You can trace every row back to the original SEC filing document.

Evidence

Filed on Form 4

Ownership activity is grounded in SEC Form 4 disclosures.

View source filing

Reporting Owners (1)

CIK 0001190864 Primary reporting owner

CONCANNON WILLIAM F

Relationship
Director
Address
200 CLARENDON STREET, BOSTON
Signature
Delia J. Makhlouta, by power of attorney
Signature date
11 Aug 2026

Reported non-derivative transactions

Shares, units, or other non-derivative securities reported in this filing.

CRAI holding

Common Stock

No transaction description listed

Transaction value
Shares
Change %
Price
Shares after
15,595
Date
16 Jul 2026
Ownership
Direct
* marks a reported price that did not pass the local price check.

Additional SEC filing notes

Filing notes and footnotes

Section 16 status

William F. Concannon is no longer subject to Section 16 filing requirements. Form 4 or Form 5 obligations may still apply in specific circumstances.

SEC remarks

The reporting person retired from the Issuer's board of directors effective July 16, 2026, and is therefore no longer subject to the filing requirements under Section 16 of the Securities Exchange Act of 1934, as amended.

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