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Paramount Skydance Corp Director's Dealing 2026

Mar 3, 2026

30266_dirs_2026-03-03_f2dbcbf8-1ffc-4e24-ad3b-281e089bf9da.zip

Director's Dealing

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SEC Form 4 — Statement of Changes in Beneficial Ownership

Issuer: Paramount Skydance Corp (PSKY)
CIK: 0002041610
Period of Report: 2026-02-28

Reporting Person: Gill Charest Katherine (EVP, Controller & CAO)

Non-Derivative Transactions

Date Security Code Shares Price A/D Holdings After Ownership
2026-02-28 Class B common stock M 9477.0000 Acquired 31542.0000 Direct
2026-02-28 Class B common stock F 3588.0000 $13.5100 Disposed 27954.0000 Direct
2026-03-01 Class B common stock M 32588.0000 Acquired 60542.0000 Direct
2026-03-01 Class B common stock M 18392.0000 Acquired 78934.0000 Direct
2026-03-01 Class B common stock M 8174.0000 Acquired 87108.0000 Direct
2026-03-01 Class B common stock M 4382.0000 Acquired 91490.0000 Direct
2026-03-01 Class B common stock F 22906.0000 $13.5100 Disposed 68584.0000 Direct

Derivative Transactions

Date Security Exercise Price Code Shares A/D Expiration Underlying Ownership
2026-02-28 Restricted Stock Units $ M 9477.0000 Disposed Class B common stock (9477.0000) Direct
2026-03-01 Restricted Stock Units $ M 4382.0000 Disposed Class B common stock (4382.0000) Direct
2026-03-01 Restricted Stock Units $ M 8174.0000 Disposed Class B common stock (8174.0000) Direct
2026-03-01 Restricted Stock Units $ M 18392.0000 Disposed Class B common stock (18392.0000) Direct
2026-03-01 Restricted Stock Units $ M 32588.0000 Disposed Class B common stock (32588.0000) Direct

Holdings (Non-Derivative)

Security Shares Ownership
Class B common stock 420.0000 Indirect

Footnotes

F1: The shares identified in Table I were issued on February 28, 2026, upon vesting of the Restricted Stock Units ("RSUs") identified in Table II, which were initially granted on March 1, 2023. On February 27, 2026, the last business day preceding the date of vesting, the closing price of the Class B common stock on The NASDAQ Global Select Market was $13.51 per share.

F2: Includes shares acquired periodically pursuant to a dividend reinvestment program meeting the requirements of Rule 16a-11.

F3: These shares were withheld by the Issuer to satisfy tax liability incident to the vesting of, and delivery of shares underlying, the RSUs, and were not actually sold or otherwise disposed of in an open-market transaction.

F4: The shares identified in Table I were issued on March 1, 2026, upon vesting of the first of three equal annual installments of the RSUs identified in Table II, which were initially granted on February 3, 2025. On February 27, 2026, the last business day preceding the date of vesting, the closing price of the Class B common stock on The NASDAQ Global Select Market was $13.51 per share.

F5: The shares identified in Table I were issued on March 1, 2026, upon vesting of the second of three equal annual installments of the RSUs identified in Table II, which were initially granted on March 1, 2024. On February 27, 2026, the last business day preceding the date of vesting, the closing price of the Class B common stock on The NASDAQ Global Select Market was $13.51 per share.

F6: The shares identified in Table I were issued on March 1, 2026, upon vesting of the last of three equal annual installments of the RSUs identified in Table II, which were initially granted on March 1, 2023. On February 27, 2026, the last business day preceding the date of vesting, the closing price of the Class B common stock on The NASDAQ Global Select Market was $13.51 per share.

F7: The shares identified in Table I were issued on March 1, 2026, upon vesting of the last of four equal annual installments of the RSUs identified in Table II, which were initially granted on March 1, 2022. On February 27, 2026, the last business day preceding the date of vesting, the closing price of the Class B common stock on The NASDAQ Global Select Market was $13.51 per share.