Kevin Cornils - 01 Sep 2022 Form 4 Insider Report for PELOTON INTERACTIVE, INC. (PTON)

Source evidence Original filing metadata and source links for verification. 4 source fields
SEC form
4
Accepted by SEC
06 Sep 2022, 18:47:20 UTC
Prior SEC filing
17 Aug 2022
Source filing
View source filing
Reporting owner 1 detail
Reporting owner signature
/s/ Bart Goldstein as attorney-in-fact for Kevin Cornils

Key filing fact

Kevin Cornils filed Form 4 for PELOTON INTERACTIVE, INC. (PTON) on 06 Sep 2022.

Key facts

  • This page summarizes Kevin Cornils's Form 4 filing for PELOTON INTERACTIVE, INC. (PTON).
  • 1 reported transaction and 1 derivative row are listed below.
  • Accepted by SEC: 06 Sep 2022, 18:47.

Change

  • Previous filing in this sequence was filed on 17 Aug 2022.
  • 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

Reported derivative securities

Options, warrants, convertible securities, or similar derivative positions disclosed in the filing.

PTON transaction Derivative

Restricted Stock Unit (RSU)

Award

Transaction value
$0
Shares
+230,705
Change %
Price
$0.000000
Shares after
230,705
Date
01 Sep 2022
Ownership
Direct
Underlying class
Class A Common Stock
Underlying amount
230,705
Exercise price
Footnotes
F1, F2
* marks a reported price that did not pass the local price check.

Additional SEC filing notes

Filing notes and footnotes

Explanation of responses 2 footnotes

Footnote F1

Each RSU represents a contingent right to receive one (1) share of the issuer's Class A common stock upon settlement for no consideration.

Footnote F2

The RSUs vest as to 6.25% of the total shares quarterly, commencing November 15, 2022, with 100% of the total shares vested on August 15, 2026, subject to the reporting person's provision of service to the issuer on each vesting date.

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