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Liberty Global Ltd. Director's Dealing 2015

Jul 29, 2015

31176_dirs_2015-07-29_41dcdda3-3154-460a-8c31-3e1948892889.zip

Director's Dealing

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SEC Form 4 — Statement of Changes in Beneficial Ownership

Issuer: Liberty Global plc (LBTY)
CIK: 0001570585
Period of Report: 2015-07-09

Reporting Person: HALL BRYAN H (EVP, Gen Counsel & Secretary)

Derivative Transactions

Date Security Exercise Price Code Shares A/D Expiration Underlying Ownership
2015-07-09 LiLAC Restricted Share Units A $ A 277 Acquired LiLAC Class A (277) Direct
2015-07-09 LiLAC Restricted Share Units C $ A 831 Acquired LiLAC Class C (831) Direct
2015-07-09 LiLAC Share Appreciation Rights A $21.53 A 1139 Acquired 2019-05-01 LiLAC Class A (1139) Direct
2015-07-09 LiLAC Share Appreciation Rights A $31.91 A 2283 Acquired 2020-05-01 LiLAC Class A (2283) Direct
2015-07-09 LiLAC Share Appreciation Rights A $35.06 A 2688 Acquired 2021-05-01 LiLAC Class A (2688) Direct
2015-07-09 LiLAC Share Appreciation Rights A $45.52 A 2102 Acquired 2022-05-01 LiLAC Class A (2102) Direct
2015-07-09 LiLAC Share Appreciation Rights C $22.51 A 1135 Acquired 2019-05-01 LiLAC Class C (1135) Direct
2015-07-09 LiLAC Share Appreciation Rights C $21.81 A 2269 Acquired 2019-05-01 LiLAC Class C (2269) Direct
2015-07-09 LiLAC Share Appreciation Rights C $33.35 A 2273 Acquired 2020-05-01 LiLAC Class C (2273) Direct
2015-07-09 LiLAC Share Appreciation Rights C $31.14 A 4545 Acquired 2020-05-01 LiLAC Class C (4545) Direct
2015-07-09 LiLAC Share Appreciation Rights C $35.37 A 5352 Acquired 2021-05-01 LiLAC Class C (5352) Direct
2015-07-09 LiLAC Share Appreciation Rights C $46.52 A 4288 Acquired 2022-05-01 LiLAC Class C (4288) Direct
2015-07-09 Share Appreciation Rights A $22.85 J 22797 Acquired 2019-05-01 Liberty Global Class A (22797) Direct
2015-07-09 Share Appreciation Rights A $33.87 J 45660 Acquired 2020-05-01 Liberty Global Class A (45660) Direct
2015-07-09 Share Appreciation Rights A $37.22 J 53794 Acquired 2021-05-01 Liberty Global Class A (53794) Direct
2015-07-09 Share Appreciation Rights A $48.31 J 41903 Acquired 2022-05-01 Liberty Global Class A (41903) Direct
2015-07-09 Share Appreciation Rights C $22.67 J 22696 Acquired 2019-05-01 Liberty Global Class C (22696) Direct
2015-07-09 Share Appreciation Rights C $21.97 J 45396 Acquired 2019-05-01 Liberty Global Class C (45396) Direct
2015-07-09 Share Appreciation Rights C $33.59 J 45448 Acquired 2020-05-01 Liberty Global Class C (45448) Direct
2015-07-09 Share Appreciation Rights C $31.37 J 90917 Acquired 2020-05-01 Liberty Global Class C (90917) Direct
2015-07-09 Share Appreciation Rights C $35.63 J 107043 Acquired 2021-05-01 Liberty Global Class C (107043) Direct
2015-07-09 Share Appreciation Rights C $46.86 J 84490 Acquired 2022-05-01 Liberty Global Class C (84490) Direct

Footnotes

F1: Each Restricted Share Unit represents a right to receive one share of Issuer's LiLAC Class A ordinary shares or LiLAC Class C ordinary shares, as the case may be.

F2: The Restricted Share Units vest in two equal semi-annual installments on March 31, 2015 and September 30, 2015.

F3: On March 3, 2014, the Issuer distributed its Class C ordinary shares as a dividend to each holder of its ordinary shares at a rate of one Class C ordinary share for each ordinary share outstanding as of February 14, 2014 (the Class C Dividend). As a result of the Class C Dividend, pursuant to the anti-dilution provisions of the applicable incentive plan of the Issuer, all outstanding Class A share appreciation rights (SARs) previously reported by the Reporting Person were adjusted by allocating the exercise price of the original Class A SAR between a SAR based on Class A ordinary shares and a SAR based on Class C ordinary shares and all outstanding Class C SARs previously reported by the Reporting Person were adjusted by doubling the number of shares and reducing by half the base price. All other terms of the additional or adjusted Class C SARs are, in all material respects, the same as those of the corresponding original SARs.

F4: On July 1, 2015, the Issuer distributed, by means of a dividend, to each holder of ordinary shares one share of the corresponding Class of Issuer Latin America and Caribbean ordinary share ("LiLAC shares") for every twenty shares of that Class of Issuer ordinary shares held by such holder as of the distribution record date. As a result, pursuant to the anti-dilution provisions of the applicable incentive plan, all equity awards previously reported were adjusted by an adjustment to the exercise price or base price, as applicable, and number of shares relating to the original award and the Reporting Person received an equity award relating to shares of the corresponding class of LiLAC shares (a "LiLAC Award"). All other terms of the awards and the terms of the LiLAC Awards are, in all material respects, the same as those of the corresponding original award.

F5: The SARs provide for vesting of 12.5% of the shares on November 1, 2012, and the remaining shares in 14 equal quarterly installments commencing February 1, 2013.

F6: The SARs provide for vesting of 12.5% of the shares on November 1, 2013, and the remaining shares in 14 equal quarterly installments commencing February 1, 2014.

F7: The SARs provide for vesting of 12.5% of the shares on November 1, 2014, and the remaining shares in 14 equal quarterly installments commencing February 1, 2015.

F8: The SARs provide for vesting of 12.5% of the shares on November 1, 2015, and the remaining shares in 14 equal quarterly installments commencing February 1, 2016.