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Sell4

Liberty Global Ltd.

LBTY

Total Value
$516.0K
Net $309.1K sold
Sales
$309.1K
2 transactions

Company Information

Ticker Symbol
LBTY
CIK
0001570585

Insider Information

Role
SVP & CAO
Officer
Location
DENVER, CO

Filing Details

Filing Date
May 5, 2026
Transaction Date
May 1, 2026
Accession Number
0001693396-26-000008
Form Type
4
Net Trading Amount
-$309.1K

Non-Derivative Transactions

DateSecuritySharesPriceTypeValue
May 1, 2026Class A Common Shares17,103Exercise
May 1, 2026Class A Common Shares7,484$11.96Tax Withholding$89.5K
May 1, 2026Class C Common Shares22,801Exercise
May 1, 2026Class C Common Shares9,977$11.77Tax Withholding$117.4K
May 5, 2026Class A Common Shares11,560$11.91Sale$137.7K
May 5, 2026Class C Common Shares14,751$11.62Sale$171.4K

Derivative Transactions

DateSecuritySharesExercise PriceTypeValue
May 1, 2026Derivative5,698Exercise
May 1, 2026Derivative11,396Exercise
May 1, 2026Derivative5,774Exercise
May 1, 2026Derivative5,774Exercise
May 1, 2026Derivative5,631Exercise
May 1, 2026Derivative5,631Exercise

Footnotes

  1. (F1)Each Restricted Share Unit ("RSU") represents a right to receive one share of Issuer's Class A common shares or Class C common shares, as the case may be.
  2. (F2)Shares are held by the Jason R. Waldron Revocable Trust, of which the Reporting Person is the trustee.
  3. (F3)The price reflects a weighted average of sales made at prices ranging from $11.895 to $11.925. The Reporting Person undertakes to provide upon request by the staff of the Securities and Exchange Commission, the Issuer, or a security holder of the Issuer, information regarding the number of shares sold at each separate price.
  4. (F4)The price reflects a weighted average of sales made at prices ranging from $11.6002 to $11.63. The Reporting Person undertakes to provide upon request by the staff of the Securities and Exchange Commission, the Issuer, or a security holder of the Issuer, information regarding the number of shares sold at each separate price.
  5. (F5)The RSUs vest in full on May 1, 2026.
  6. (F6)The RSUs vest in three equal annual installments commencing on May 1, 2025.
  7. (F7)The RSUs vest in three equal annual installments commencing on May 1, 2026.

SEC Filing

View on SEC Daily

View the complete filing document on SEC Daily.