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Forestar Group Inc. Director's Dealing 2015

Feb 17, 2015

32005_dirs_2015-02-17_9c4e13ec-2508-4470-ba52-fe748373a024.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: 2015-02-12

Reporting Person: DeCosmo James M (Director, CEO - President)

Non-Derivative Transactions

Date Security Code Shares Price A/D Holdings After Ownership
2015-02-12 Common Stock M 3298 $0.00 Acquired 115833 Direct
2015-02-12 Common Stock D 3298 $14.40 Disposed 112535 Direct
2015-02-14 Common Stock M 27161 Acquired 139696 Direct
2015-02-14 Common Stock F 7536 $14.86 Disposed 132160 Direct
2015-02-14 Common Stock M 8070 $0.00 Acquired 140230 Direct
2015-02-14 Common Stock D 8070 $14.86 Disposed 162160 Direct

Derivative Transactions

Date Security Exercise Price Code Shares A/D Expiration Underlying Ownership
2015-02-14 Restricted Share Units $ M 8070 Disposed Common Stock (8070) Direct
2015-02-12 Restricted Share Units $ M 3298 Disposed Common Stock (3298) Direct
2015-02-14 Market Stock Units $ M 29380 Disposed 2015-02-14 Common Stock (29380) Direct

Holdings (Derivative)

Security Exercise Price Expiration Underlying Shares Ownership
Option (right to buy) $27.06 2016-02-03 Common Stock (6150) 6150 Direct
Option (right to buy) $30.56 2017-02-02 Common Stock (6150) 6150 Direct
Option (right to buy) $28.85 2018-02-12 Common Stock (74000) 74000 Direct
Option (right to buy) $9.29 2019-02-10 Common Stock (59010) 59010 Direct
Option (right to buy) $17.80 2020-02-09 Common Stock (32016) 32016 Direct
Option (right to buy) $18.59 2021-02-08 Common Stock (54402) 54402 Direct
Option (right to buy) $16.11 2022-02-14 Common Stock (59013) 59013 Direct
Option (right to buy) $18.70 2023-02-14 Common Stock (53606) 53606 Direct
Option (right to buy) $14.08 2025-02-10 Common Stock (50536) 50536 Direct
Stock Appreciation Right $9.29 2019-02-10 Common Stock (100000) 31345 Direct
Stock Appreciation Right $17.80 2020-02-09 Common Stock (37584) 37584 Direct
Restricted Share Units $ Common Stock (3252) 6506 Direct
Market Stock Units $ 2016-02-12 Common Stock (26084) 26084 Direct
Market Stock Units $ 2017-02-11 Common Stock (16191) 16191 Direct
Market Stock Units $ 2018-02-10 Common Stock (50947) 50947 Direct

Footnotes

F1: Restricted stock units vested 02/12/2015. Restricted stock units are being settled for cash based on the fair market value on 02/12/2015.

F2: Represents vesting of previously reported Market Stock Units.

F3: Restricted stock units vested 02/14/2015. Restricted stock units are being settled for cash based on the fair market value on 02/14/2015.

F4: 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.

F5: Options Vesting Schedule - Exercise price of $27.06: Options Exercisable 02/03/2007 - 1,537; Options Exercisable 02/03/2008 - 1,537; Options Exercisable 02/03/2009 - 1,537; and Options Exercisable 02/03/2010 - 1,537.

F6: Shares acquired in a pro rata distribution by Temple-Inland Inc. through a spin-off on or around December 28, 2007.

F7: Options Vesting Schedule - Exercise price of $30.56: Options Exercisable 02/02/2008 - 1,537; Options Exercisable 02/02/2009 - 1,537; Options Exercisable 02/02/2010 - 1,537; and Options Exercisable 02/02/2011 - 1,537.

F8: Options Vesting Schedule for Options Granted 02/12/2008 - Exercise price is $28.85: Options Exercisable 02/12/2009 - 18,500; Options Exercisable 02/12/2010 - 18,500; Options Exercisable 02/12/2011 - 18,500; Options Exercisable 02/12/2012 - 18,500.

F9: Vesting schedule for Options granted 02/10/2009 - Exercise price is $9.29: Options Exercisable 02/10/2010 - 14,752; Options Exercisable 02/10/2011 - 14,752; Options Exercisable 02/10/2012 - 14,753; and Options Exercisable 02/10/2013 - 14,753.

F10: Vesting schedule for Options granted 02/09/2010 - Exercise price is $17.80: Options Exercisable 02/09/2011 - 8,004; Options Exercisable 02/09/2012 - 8,004; Options Exercisable 02/09/2013 - 8,004; and Options Exercisable 02/09/2014 - 8,004.

F11: Vesting schedule for Options granted 02/08/2011 - Exercise price is $18.59: Options Exercisable 02/08/2012 - 13,600; Options Exercisable 02/08/2013 - 13,601; Options Exercisable 02/08/2014 - 13,600; and Options Exercisable 02/08/2015 - 13,601.

F12: Vesting schedule for Options granted 02/14/2012 - Exercise price is $16.11: Options Exercisable 02/14/2013 - 14,753; Options Exercisable 02/14/2014 - 14,753; Options Exercisable 02/14/2015 - 14,753; and Options Exercisable 02/14/2016 - 14,754.

F13: Vesting schedule for Options granted 02/12/2013 - Exercise price is $18.70: Options Exercisable 02/12/2014 - 13,401; Options Exercisable 02/12/2015 - 13,402; Options Exercisable 02/12/2016 - 13,401; and Options Exercisable 02/12/2017 - 13,402.

F14: Vesting schedule for Options granted 02/10/2015 - Exercise price is $14.08: Options Exercisable 02/10/2016 - 12,634; Options Exercisable 02/10/2017 - 12,634; Options Exercisable 02/10/2018 - 12,634; and Options Exercisable 02/10/2019 - 12,634.

F15: Vesting schedule for Stock Appreciation Rights (SARs) granted 02/10/2009 - Exercise price is $9.29: SARs Exercisable 02/10/2010 - 32,836; SARs Exercisable 02/10/2011 - 32,836; SARs Exercisable 02/10/2012 - 32,836; and SARs Exercisable 02/10/2013 - 32,837.

F16: Vesting schedule for Stock Appreciation Rights (SARs) granted 02/09/2010 - Exercise price is $17.80: SARs Exercisable 02/09/2011 - 9,396; SARs Exercisable 02/09/2012 - 9,396; SARs Exercisable 02/09/2013 - 9,396; and SARs Exercisable 02/09/2014 - 9,396. SARs will be settled for cash.

F17: Restricted share units granted on 02/14/2012 will vest as follows: 8,070 on 02/14/2013; 8,069 on 02/14/2014; 8,070 on 02/14/2015. Restricted share units will be settled for cash based on the fair market value on vesting date.

F18: Restricted share units granted on 02/12/2013 will vest as follows: 3,298 on 02/12/2014; 3,298 on 02/12/2015; 3,298 on 02/12/2016. Restricted share units will be settled for cash based on the fair market value on vesting date.

F19: Restricted share units granted on 02/11/2014 will vest as follows: 3,252 on 02/11/2015; 3,253 on 02/11/2016; 3,253 on 02/11/2017. Restricted share units will be settled for cash based on the fair market value on vesting date.

F20: Number of units received upon vesting will vary depending upon performance of Company stock over the performance period.