Skip to main content

AI assistant

Sign in to chat with this filing

The assistant answers questions, extracts KPIs, and summarises risk factors directly from the filing text.

MARRIOTT VACATIONS WORLDWIDE Corp Director's Dealing 2018

Oct 9, 2018

31470_dirs_2018-10-09_7c15f50b-55b1-4824-b823-c381a2bf198d.zip

Director's Dealing

Open in viewer

Opens in your device viewer

SEC Form 4 — Statement of Changes in Beneficial Ownership

Issuer: MARRIOTT VACATIONS WORLDWIDE Corp (VAC)
CIK: 0001524358
Period of Report: 2018-10-04

Reporting Person: MARBERT JEANETTE E (Pres., Exchange and TPM)

Non-Derivative Transactions

Date Security Code Shares Price A/D Holdings After Ownership
2018-10-04 Restricted Stock Unit A 4 $0.00 Acquired 987 Direct
2018-10-04 Restricted Stock Unit A 8 $0.00 Acquired 2273 Direct
2018-10-04 Restricted Stock Unit A 13 $0.00 Acquired 3412 Direct
2018-10-04 Restricted Stock Unit A 23 $0.00 Acquired 6152 Direct
2018-10-04 Restricted Stock Unit A 23 $0.00 Acquired 6152 Direct
2018-10-04 Restricted Stock Unit A 9 $0.00 Acquired 2308 Direct
2018-10-04 Restricted Stock Unit A 13 $0.00 Acquired 3443 Direct
2018-10-04 Restricted Stock Unit A 9 $0.00 Acquired 2323 Direct
2018-10-04 Restricted Stock Unit A 9 $0.00 Acquired 2323 Direct

Footnotes

F1: Represents Restricted Stock Units ("RSUs") that vest February 24, 2019 including additional RSUs issued in connection with the Registrant's October 4, 2018 cash dividend.

F2: Represents RSUs that vest February 23, 2019 including additional RSUs issued in connection with the Registrant's October 4, 2018 cash dividend.

F3: Represents RSUs that vest May 12, 2019 including additional RSUs issued in connection with the Registrant's October 4, 2018 cash dividend.

F4: Represents RSUs that vest ratably February 14, 2019 and 2020 including additional RSUs issued in connection with the Registrant's October 4, 2018 cash dividend.

F5: Represents RSUs that vest February 14, 2020 including additional RSUs issued in connection with the Registrant's October 4, 2018 cash dividend.

F6: Represents RSUs that vest ratably February 20, 2019, 2020 and 2021 including additional RSUs issued in connection with the Registrant's October 4, 2018 cash dividend.

F7: Represents RSUs that vest February 20, 2021 including additional RSUs issued in connection with the Registrant's October 4, 2018 cash dividend.