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Forestar Group Inc. — Director's Dealing 2014
Feb 13, 2014
32005_dirs_2014-02-13_b8c42f63-f2f6-446a-a05e-79e3d147fc09.zip
Director's Dealing
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SEC Form 4 — Statement of Changes in Beneficial Ownership
Issuer: Forestar Group Inc. (FOR)
CIK: 0001406587
Period of Report: 2014-02-11
Reporting Person: Grimm David M (Chief Administrative Officer)
Non-Derivative Transactions
| Date | Security | Code | Shares | Price | A/D | Holdings After | Ownership |
|---|---|---|---|---|---|---|---|
| 2014-02-11 | Common Stock | M | 10491 | — | Acquired | 44025 | Direct |
| 2014-02-11 | Common Stock | F | 2964 | $18.96 | Disposed | 41061 | Direct |
| 2014-02-12 | Common Stock | M | 2028 | $0.00 | Acquired | 43089 | Direct |
| 2014-02-12 | Common Stock | D | 2028 | $19.11 | Disposed | 41061 | Direct |
Derivative Transactions
| Date | Security | Exercise Price | Code | Shares | A/D | Expiration | Underlying | Ownership |
|---|---|---|---|---|---|---|---|---|
| 2014-02-12 | Restricted Share Units | $ | M | 2028 | Disposed | Common Stock (2028) | Direct | |
| 2014-02-11 | Restricted Share Units | $ | A | 5537 | Acquired | Common Stock (5537) | Direct | |
| 2014-02-11 | Market Stock Units | $ | M | 9845 | Disposed | 2014-02-08 | Common Stock (9845) | Direct |
| 2014-02-11 | Market Stock Units | $ | A | 7360 | Acquired | 2017-02-11 | Common Stock (7360) | Direct |
Holdings (Non-Derivative)
| Security | Shares | Ownership |
|---|---|---|
| Common Stock | 1000 | Indirect |
Holdings (Derivative)
| Security | Exercise Price | Expiration | Underlying | Shares | Ownership |
|---|---|---|---|---|---|
| Option (right to buy) | $20.26 | 2015-02-04 | Common Stock (533) | 533 | Direct |
| Option (right to buy) | $27.06 | 2016-02-03 | Common Stock (1708) | 1708 | Direct |
| Option (right to buy) | $30.56 | 2017-02-02 | Common Stock (1708) | 1708 | Direct |
| Option (right to buy) | $28.85 | 2018-02-12 | Common Stock (22300) | 22300 | Direct |
| Option (right to buy) | $9.29 | 2019-02-10 | Common Stock (17703) | 17703 | Direct |
| Option (right to buy) | $17.80 | 2020-02-09 | Common Stock (10757) | 10757 | Direct |
| Option (right to buy) | $18.59 | 2021-02-08 | Common Stock (20772) | 20772 | Direct |
| Option (right to buy) | $16.11 | 2022-02-14 | Common Stock (24142) | 24142 | Direct |
| Option (right to buy) | $18.70 | 2023-02-12 | Common Stock (24366) | 24366 | Direct |
| Stock Appreciation Right | $17.80 | 2020-02-09 | Common Stock (12628) | 12628 | Direct |
| Restricted Share Units | $ | Common Stock (3001) | 6000 | Direct | |
| Market Stock Units | $ | 2015-02-14 | Common Stock (12019) | 12019 | Direct |
| Market Stock Units | $ | 2016-02-12 | Common Stock (11856) | 11856 | Direct |
Footnotes
F1: Represents vesting of previously reported Market Stock Units.
F2: Restricted stock units vested 02/12/2014. Restricted stock units are being settled for cash based on the fair market value on 02/12/2014.
F3: In accordance with the Rights Agreement adopted by the Company on December 11, 2007, Preferred Stock Purchase Rights are deemed to be attached to the shares of Common Stock.
F4: Options Vesting Schedule - Exercise price of $20.26: Options Exercisable 02/04/2007 - 266; Options Exercisable 02/04/2008 - 133; Options Exercisable 02/04/2009 - 134.
F5: Shares acquired in a pro rata distribution by Temple-Inland Inc. through a spin-off on or around December 28, 2007.
F6: Options Vesting Schedule - Exercise price of $27.06: Options Exercisable 02/03/2007 - 427; Options Exercisable 02/03/2008 - 427; Options Exercisable 02/03/2009 - 427; and Options Exercisable 02/03/2010 - 427.
F7: Options Vesting Schedule - Exercise price of $30.56: Options Exercisable 02/02/2008 - 427; Options Exercisable 02/02/2009 - 427; Options Exercisable 02/02/2010 - 427; and Options Exercisable 02/02/2011 - 427.
F8: Options Vesting Schedule for Options Granted 02/12/2008 - Exercise price is $28.85: Options Exercisable 02/12/2009 - 5,575; Options Exercisable 02/12/2010 - 5,575; Options Exercisable 02/12/2011 - 5,575; Options Exercisable 02/12/2012 - 5,575.
F9: Vesting schedule for Options granted 02/10/2009 - Exercise price is $9.29: Options Exercisable 02/10/2010 - 4425; Options Exercisable 02/10/2011 - 4426; Options Exercisable 02/10/2012 - 4426; and Options Exercisable 02/10/2013 - 4426.
F10: Vesting schedule for Options granted 02/09/2010 - Exercise price is $17.80: Options Exercisable 02/09/2011 - 2,689; Options Exercisable 02/09/2012 - 2,689; Options Exercisable 02/09/2013 - 2,689; and Options Exercisable 02/09/2014 - 2,690.
F11: Vesting schedule for Options granted 02/08/2011 - Exercise price is $18.59: Options Exercisable 02/08/2012 - 5,193; Options Exercisable 02/08/2013 - 5,193; Options Exercisable 02/08/2014 - 5,193; and Options Exercisable 02/08/2015 - 5,193.
F12: Vesting schedule for Options granted 02/14/2012 - Exercise price is $16.11: Options Exercisable 02/14/2013 - 6,035; Options Exercisable 02/14/2014 - 6,036; Options Exercisable 02/14/2015 - 6,035; and Options Exercisable 02/14/2016 - 6,036.
F13: Vesting schedule for Options granted 02/12/2013 - Exercise price is $18.70: Options Exercisable 02/12/2014 - 6,091; Options Exercisable 02/12/2015 - 6,092; Options Exercisable 02/12/2016 - 6,091; and Options Exercisable 02/12/2017 - 6,092.
F14: Vesting schedule for Stock Appreciation Rights (SARs) granted 02/9/2010 - Exercise price is $17.80: SARs Exercisable 02/9/2011 - 3,157; SARs Exercisable 02/9/2012 - 3,157; SARs Exercisable 02/9/2013 - 3,157; and SARs Exercisable 02/9/2014 - 3,157. SARs will be settled for cash.
F15: Restricted share units granted on 02/14/2012 will vest as follows: 3,001 on 02/14/2013; 3,000 on 02/14/2014; 3,000 on 02/14/2015. Restricted share units will be settled for cash based on the fair market value on vesting date.
F16: Restricted share units granted on 02/12/2013 will vest as follows: 2,028 on 02/12/2014; 2,027 on 02/12/2015; 2,027 on 02/12/2016. Restricted share units will be settled for cash based on the fair market value on vesting date.
F17: Restricted share units granted on 02/11/2014 will vest as follows: 1,846 on 02/11/2015; 1,845 on 02/11/2016; 1,846 on 02/11/2017. Restricted share units will be settled for cash based on the fair market value on vesting date.
F18: Vesting amount of Market Stock Units was determined based on the average closing stock price for forty trading days prior to the vest date and performance during the three-year performance period.
F19: Number of units received upon vesting will vary depending upon performance of Company stock over the performance period.