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MAXIMUS, INC. — Director's Dealing 2011
Feb 17, 2011
31016_dirs_2011-02-17_1c69f3c2-5ed5-4034-b1ed-7de278c4b0e1.zip
Director's Dealing
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SEC Form 4 — Statement of Changes in Beneficial Ownership
Issuer: MAXIMUS INC (MMS)
CIK: 0001032220
Period of Report: 2011-02-15
Reporting Person: POND PETER (Director)
Non-Derivative Transactions
| Date | Security | Code | Shares | Price | A/D | Holdings After | Ownership |
|---|---|---|---|---|---|---|---|
| 2011-02-15 | Common Stock | M | 86 | $33.98 | Acquired | 86 | Direct |
| 2011-02-15 | Common Stock | S | 86 | $71.09 | Disposed | 0 | Direct |
| 2011-02-15 | Common Stock | M | 84 | $34.99 | Acquired | 84 | Direct |
| 2011-02-15 | Common Stock | S | 84 | $71.09 | Disposed | 0 | Direct |
| 2011-02-15 | Common Stock | M | 2568 | $34.29 | Acquired | 2568 | Direct |
| 2011-02-15 | Common Stock | S | 2568 | $71.224 | Disposed | 0 | Direct |
| 2011-02-15 | Common Stock | M | 143 | $34.29 | Acquired | 143 | Direct |
| 2011-02-15 | Common Stock | S | 143 | $71.09 | Disposed | 0 | Direct |
| 2011-02-15 | Common Stock | M | 4566 | $34.29 | Acquired | 4566 | Direct |
| 2011-02-15 | Common Stock | S | 4566 | $71.221 | Disposed | 0 | Direct |
| 2011-02-15 | Common Stock | M | 571 | $34.29 | Acquired | 571 | Direct |
| 2011-02-15 | Common Stock | S | 571 | $71.09 | Disposed | 0 | Direct |
| 2011-02-15 | Common Stock | M | 2476 | $30.47 | Acquired | 2476 | Direct |
| 2011-02-15 | Common Stock | S | 2476 | $71.221 | Disposed | 0 | Direct |
| 2011-02-15 | Common Stock | M | 123 | $30.47 | Acquired | 123 | Direct |
| 2011-02-15 | Common Stock | S | 123 | $71.09 | Disposed | 0 | Direct |
| 2011-02-15 | Common Stock | M | 119 | $31.41 | Acquired | 119 | Direct |
| 2011-02-15 | Common Stock | S | 119 | $71.09 | Disposed | 0 | Direct |
| 2011-02-15 | Common Stock | M | 172 | $35.4 | Acquired | 172 | Direct |
| 2011-02-15 | Common Stock | S | 172 | $71.09 | Disposed | 0 | Direct |
| 2011-02-15 | Common Stock | M | 2073 | $35 | Acquired | 2073 | Direct |
| 2011-02-15 | Common Stock | S | 2073 | $71.221 | Disposed | 0 | Direct |
| 2011-02-15 | Common Stock | M | 172 | $35 | Acquired | 172 | Direct |
| 2011-02-15 | Common Stock | S | 172 | $71.09 | Disposed | 0 | Direct |
Derivative Transactions
| Date | Security | Exercise Price | Code | Shares | A/D | Expiration | Underlying | Ownership |
|---|---|---|---|---|---|---|---|---|
| 2011-02-15 | Stock Options | $33.98 | M | 86 | Disposed | 2011-03-11 | Common Stock (86) | Direct |
| 2011-02-15 | Stock Options | $34.99 | M | 84 | Disposed | 2011-03-21 | Common Stock (84) | Direct |
| 2011-02-15 | Stock Options | $34.29 | M | 2568 | Disposed | 2011-03-22 | Common Stock (2568) | Direct |
| 2011-02-15 | Stock Options | $34.29 | M | 143 | Disposed | 2011-03-22 | Common Stock (143) | Direct |
| 2011-02-15 | Stock Options | $34.29 | M | 4566 | Disposed | 2011-03-22 | Common Stock (4566) | Direct |
| 2011-02-15 | Stock Options | $34.29 | M | 571 | Disposed | 2011-03-22 | Common Stock (571) | Direct |
| 2011-02-15 | Stock Options | $30.47 | M | 2476 | Disposed | 2011-04-28 | Common Stock (2476) | Direct |
| 2011-02-15 | Stock Options | $30.47 | M | 123 | Disposed | 2011-04-28 | Common Stock (123) | Direct |
| 2011-02-15 | Stock Options | $31.41 | M | 119 | Disposed | 2011-05-02 | Common Stock (119) | Direct |
| 2011-02-15 | Stock Options | $35.4 | M | 172 | Disposed | 2011-05-11 | Common Stock (172) | Direct |
| 2011-02-15 | Stock Options | $35 | M | 2073 | Disposed | 2011-05-16 | Common Stock (2073) | Direct |
| 2011-02-15 | Stock Options | $35 | M | 172 | Disposed | 2011-05-16 | Common Stock (172) | Direct |
Footnotes
F1: Weighted average sale price for prices ranging from $71.20 to $71.28. 200 shares were sold at $71.20 per share; 100 shares were sold at $71.205 per share; 768 shares were sold at $71.21 per share; 400 shares were sold at $71.215 per share; 400 shares were sold at $71.235 per share; 400 shares were sold at $71.24 per share; 200 shares were sold at $71.25 per share; 100 shares were sold at $71.28 per share.
F2: Weighted average sale price for prices ranging from $71.099 to $71.29. 166 shares were sold at $71.099 per share; 100 shares were sold at $71.16 per share; 34 shares were sold at $71.165 per share; 166 shares were sold at $71.17 per share; 100 shares were sold at $71.19 per share; 100 shares were sold at $71.195 per share; 100 shares were sold at $71.20 per share; 100 shares were sold at $71.205 per share; 1200 shares were sold at $71.21 per share; 500 shares were sold at $71.215 per share; 500 shares were sold at $71.23 per share; 400 shares were sold at $71.235 per share; 300 shares were sold at $71.24 per share; 300 shares were sold at $71.27 per share; 100 shares were sold at $71.28 per share; 400 shares were sold at $71.29 per share.
F3: Weighted average sale price for prices ranging from $71.20 to $71.27. 200 shares were sold at $71.20 per share; 100 shares were sold at $71.205 per share; 300 shares were sold at $71.21 per share; 876 shares were sold at $71.215 per share; 200 shares were sold at $71.223 per share; 400 shares were sold at $71.23 per share; 200 shares were sold at $71.235 per share; 100 shares were sold at $71.25 per share; 100 shares were sold at $71.27 per share.
F4: Weighted average sale price for prices ranging from $71.19 to $71.25. 100 shares were sold at $71.19 per share; 100 shares were sold at $71.20 per share; 100 shares were sold at $71.205 per share; 700 shares were sold at $71.21 per share; 373 shares were sold at $71.215 per share; 300 shares were sold at $71.235 per share; 400 shares were sold at $71.25 per share.