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CIRRUS LOGIC, INC. Director's Dealing 2016

Nov 2, 2016

30880_dirs_2016-11-02_6fdb38ac-5a88-47e2-9896-8f4950e8bc2a.zip

Director's Dealing

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SEC Form 4 — Statement of Changes in Beneficial Ownership

Issuer: CIRRUS LOGIC INC (CRUS)
CIK: 0000772406
Period of Report: 2016-10-31

Reporting Person: Benson JoDee (VP, Chief Culture Officer)

Non-Derivative Transactions

Date Security Code Shares Price A/D Holdings After Ownership
2016-10-31 Common Stock M 16000.0 $5.55 Acquired 36843 Direct
2016-10-31 Common Stock S 16000.0 $54.3028 Disposed 20843 Direct
2016-10-31 Common Stock M 6381.0 $16.25 Acquired 27224 Direct
2016-10-31 Common Stock S 6381.0 $54.3537 Disposed 20843 Direct
2016-10-31 Common Stock M 18619.0 $16.25 Acquired 39462 Direct
2016-10-31 Common Stock S 18619.0 $54.2979 Disposed 20843 Direct
2016-10-31 Common Stock M 25000.0 $15.41 Acquired 45843 Direct
2016-10-31 Common Stock S 25000.0 $54.296 Disposed 20843 Direct
2016-10-31 Common Stock M 10062.0 $20.37 Acquired 30905 Direct
2016-10-31 Common Stock S 10062.0 $54.3112 Disposed 20843 Direct

Derivative Transactions

Date Security Exercise Price Code Shares A/D Expiration Underlying Ownership
2016-10-31 Incentive Stock Option (right to buy) $16.25 M 6381.0 Disposed 2020-10-06 Common Stock (6381) Direct
2016-10-31 Non-Qualified Stock Option (right to buy) $5.55 M 16000.0 Disposed 2019-10-07 Common Stock (16000) Direct
2016-10-31 Non-Qualified Stock Option (right to buy) $15.41 M 25000.0 Disposed 2021-10-05 Common Stock (25000) Direct
2016-10-31 Non-Qualified Stock Option (right to buy) $16.25 M 18619.0 Disposed 2020-10-06 Common Stock (18619) Direct
2016-10-31 Non-Qualified Stock Option (right to buy) $20.37 M 10062.0 Disposed 2024-10-01 Common Stock (10062) Direct

Footnotes

F1: This transaction was made pursuant to a Rule 10b5-1 Plan adopted by the reporting person on August 15, 2016.

F2: The price reported in Table I - Column 4 is a weighted average price. These shares were sold in multiple transactions at prices ranging from $53.87 to $54.97. The reporting person will provide full information regarding the number of shares bought as each separate price within the ranges set forth in this footnote to any security holder of Cirrus Logic, Inc. or the staff of the SEC upon request.

F3: The price reported in Table I - Column 4 is a weighted average price. These shares were sold in multiple transactions at prices ranging from $53.86 to $54.97. The reporting person will provide full information regarding the number of shares bought as each separate price within the ranges set forth in this footnote to any security holder of Cirrus Logic, Inc. or the staff of the SEC upon request.

F4: The price reported in Table I - Column 4 is a weighted average price. These shares were sold in multiple transactions at prices ranging from $53.86 to $54.97. The reporting person will provide full information regarding the number of shares bought as each separate price within the ranges set forth in this footnote to any security holder of Cirrus Logic, Inc. or the staff of the SEC upon request.

F5: The price reported in Table I - Column 4 is a weighted average price. These shares were sold in multiple transactions at prices ranging from $53.86 to $54.97. The reporting person will provide full information regarding the number of shares bought as each separate price within the ranges set forth in this footnote to any security holder of Cirrus Logic, Inc. or the staff of the SEC upon request.

F6: The price reported in Table I - Column 4 is a weighted average price. These shares were sold in multiple transactions at prices ranging from $53.86 to $54.79. The reporting person will provide full information regarding the number of shares bought as each separate price within the ranges set forth in this footnote to any security holder of Cirrus Logic, Inc. or the staff of the SEC upon request.

F7: The option vested on a 4-year schedule: 25% of the shares became exercisable on 10/06/2011; the remaining 75% of the shares vested at a rate of 1/36th per month over the following 36 months so that the option was fully vested and exercisable on 10/06/2014. Only vested shares can be exercised under this option.

F8: The option vested on a 4-year schedule: 25% of the shares became exercisable on 10/07/2010; the remaining 75% of the shares vested at a rate of 1/36th per month over the following 36 months so that the option was fully vested and exercisable on 10/07/2013. Only vested shares can be exercised under this option.

F9: The option vested on a 4-year schedule: 25% of the shares became exercisable on 10/05/2012; the remaining 75% of the shares vested at a rate of 1/36th per month over the following 36 months so that the option was fully vested and exercisable on 10/05/2015 Only vested shares can be exercised under this option.

F10: The option vests on a 4-year schedule: 25% of the shares became exercisable on 10/01/2015; the remaining 75% of the shares will vest at a rate of 1/36th per month over the following 36 months so that the option will be fully vested and exercisable on 10/01/2018. Only vested shares can be exercised under this option.