AI assistant
MAXIMUS, INC. — Director's Dealing 2010
Nov 12, 2010
31016_dirs_2010-11-12_c42248e7-139b-478a-bd42-811dc3c54fe7.zip
Director's Dealing
Open in viewerOpens in your device viewer
SEC Form 4 — Statement of Changes in Beneficial Ownership
Issuer: MAXIMUS INC (MMS)
CIK: 0001032220
Period of Report: 2010-11-09
Reporting Person: MONTONI RICHARD A (CEO)
Non-Derivative Transactions
| Date | Security | Code | Shares | Price | A/D | Holdings After | Ownership |
|---|---|---|---|---|---|---|---|
| 2010-11-09 | Common Stock | M | 3333 | $29.57 | Acquired | 121459.174 | Direct |
| 2010-11-09 | Common Stock | S | 2233 | $61.539 | Disposed | 119226.174 | Direct |
| 2010-11-09 | Common Stock | S | 1100 | $62.56 | Disposed | 118126.174 | Direct |
| 2010-11-10 | Common Stock | M | 3333 | $29.57 | Acquired | 121459.174 | Direct |
| 2010-11-10 | Common Stock | S | 2100 | $61.551 | Disposed | 119359.174 | Direct |
| 2010-11-10 | Common Stock | S | 1233 | $62.34 | Disposed | 118126.174 | Direct |
| 2010-11-11 | Common Stock | M | 3334 | $29.57 | Acquired | 121460.174 | Direct |
| 2010-11-11 | Common Stock | S | 1834 | $58.222 | Disposed | 119626.174 | Direct |
| 2010-11-11 | Common Stock | S | 1300 | $60.209 | Disposed | 118326.174 | Direct |
| 2010-11-11 | Common Stock | S | 100 | $60.2 | Disposed | 118226.17 | Direct |
| 2010-11-11 | Common Stock | S | 100 | $62.47 | Disposed | 118126.147 | Direct |
Derivative Transactions
| Date | Security | Exercise Price | Code | Shares | A/D | Expiration | Underlying | Ownership |
|---|---|---|---|---|---|---|---|---|
| 2010-11-09 | Stock Options | $29.57 | M | 3333 | Disposed | Common Stock (3333) | Direct | |
| 2010-11-10 | Stock Options | $29.57 | M | 3333 | Disposed | Common Stock (3333) | Direct | |
| 2010-11-11 | Stock Options | $29.57 | M | 3334 | Disposed | Common Stock (3334) | Direct |
Footnotes
F1: These sales were effected pursuant to a Rule 10b5-1 trading plan adopted by the reporting person on May 20, 2010.
F2: Weighted average sale price for prices ranging from $61.36 to $62.27. 400 shares were sold at $61.36 per share; 133 shares were sold at $61.37 per share; 100 shares were sold at $61.395 per share; 100 shares were sold at $61.40 per share; 200 shares were sold at $61.43 per share; 100 shares were sold at $61.448 per share; 100 shares were sold at $61.45 per share; 100 shares were sold at $61.47 per share; 200 shares were sold at $61.49 per share; 200 shares were sold at $61.50 per share; 100 shares were sold at $61.51 per share; 100 shares were sold at $61.52 per share; 100 shares were sold at $61.55 per share; 100 shares were sold at $62.06 per share; 100 shares were sold at $61.19 per share; 100 shares were sold at $62.27 per share.
F3: Weighted average sale price for prices ranging from $62.415 to $62.81. 100 shares were sold at $62.415 per share; 100 shares were sold at $62.47 per share; 100 shares were sold at $62.50 per share; 100 shares were sold at $62.505 per share; 100 shares were sold at $62.54 per share; 100 shares were sold at $62.555 per share; 100 shares were sold at $62.57 per share; 100 shares were sold at $62.59 per share; 100 shares were sold at $62.60 per share; 100 shares were sold at $62.61 per share; 100 shares were sold at $62.81 per share.
F4: Weighted average sale price for prices ranging from $61.158 to $62.15. 100 shares were sold at $61.185 per share; 100 shares were sold at $61.19 per share; 100 shares were sold at $61.23 per share; 100 shares were sold at $61.29 per share; 200 shares were sold at $61.30 per share; 200 shares were sold at $61.31 per share; 100 shares were sold at $61.345 per share; 100 shares were sold at $61.35 per share; 2 shares were sold at $61.37 per share; 98 shares were sold at $61.38 per share; 100 shares were sold at $61.45 per share; 100 shares were sold at $61.62 per share; 100 shares were sold at $61.815 per share; 200 shares were sold at $61.85 per share; 100 shares were sold at $61.86 per share; 100 shares were sold at $61.87 per share; 100 shares were sold at $61.93 per share;100 shares were sold at $61.995 per share; 30 shares were sold at $62.12 per share; 70 shares were sold at $62.15 per share.
F5: Weighted average sale price for prices ranging from $62.22 to $62.51. 100 shares were sold at $62.22 per share; 100 shares were sold at $62.26 per share; 100 shares were sold at $62.28 per share; 33 shares were sold at $62.30 per share; 200 shares were sold at $62.31 per share; 100 shares were sold at $62.315 per share; 100 shares were sold at $62.325 per share; 100 shares were sold at $62.335 per share; 200 shares were sold at $62.37 per share.
F6: Weighted average sale price for prices ranging from $58.00 to $58.86. 1034 shares were sold at $58.00 per share; 100 shares were sold at $58.01 per share; 100 shares were sold at $58.03 per share; 100 shares were sold at $58.04 per share; 200 shares were sold at $58.75 per share; 91 shares were sold at $58.80 per share; 109 shares were sold at $58.83 per share; 100 shares were sold at $58.86 per share.
F7: Weighted average sale price for prices ranging from $59.02 to $59.80. 100 shares were sold at $59.02 per share; 7 shares were sold at $59.03 per share; 100 shares were sold at $59.06 per share; 93 shares were sold at $59.13 per share; 100 shares were sold at $59.18 per share; 100 shares were sold at $59.2 per share; 200 shares were sold at $59.24 per share; 100 shares were sold at $59.28 per share; 100 shares were sold at $59.29 per share; 100 shares were sold at $59.31 per share; 100 shares were sold at $59.35 per share; 10 shares were sold at $59.36 per share; 90 shares were sold at $59.40 per share; 100 shares were sold at $59.80.
F8: Weighted average sale price for prices ranging from $60.20 to $60.31. 92 shares were sold at $60.20 per share; 8 shares were sold at $60.31 per share.
F9: Effective 6/20/2006 - Non Qualified Stock Options to acquire 225,500 shares of common stock were issued with the following vesting schedules
Shares Vest Date
56,375 6/20/2007
56,375 6/20/2008
56,375 6/20/2009
56,375 6/20/2010
These options expire on 6/20/2012