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RYDER SYSTEM INC — Director's Dealing 2022
Nov 23, 2022
30770_dirs_2022-11-23_bf0b38f4-8b06-45f4-86d4-4ed340f36f5d.zip
Director's Dealing
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SEC Form 4 — Statement of Changes in Beneficial Ownership
Issuer: RYDER SYSTEM INC (R)
CIK: 0000085961
Period of Report: 2022-11-22
Reporting Person: GALLO-AQUINO CRISTINA (SVP and Controller)
Non-Derivative Transactions
| Date | Security | Code | Shares | Price | A/D | Holdings After | Ownership |
|---|---|---|---|---|---|---|---|
| 2022-11-22 | common stock | M | 1000 | $71.43 | Acquired | 19642 | Direct |
| 2022-11-22 | common stock | M | 1000 | $74.72 | Acquired | 20642 | Direct |
| 2022-11-22 | common stock | M | 1690 | $76.49 | Acquired | 22332 | Direct |
| 2022-11-22 | common stock | S | 3690 | $92.47 | Disposed | 18642 | Direct |
Derivative Transactions
| Date | Security | Exercise Price | Code | Shares | A/D | Expiration | Underlying | Ownership |
|---|---|---|---|---|---|---|---|---|
| 2022-11-22 | Stock Option (right to buy) | $71.43 | M | 1000 | Disposed | 2024-02-07 | common stock (1000.0) | Direct |
| 2022-11-22 | Stock Option (right to buy) | $74.72 | M | 1000 | Disposed | 2028-02-21 | common stock (1000.0) | Direct |
| 2022-11-22 | Stock Option (right to buy) | $76.49 | M | 1690 | Disposed | 2027-02-10 | common stock (1690.0) | Direct |
Holdings (Non-Derivative)
| Security | Shares | Ownership |
|---|---|---|
| common stock | 1352 | Indirect |
Footnotes
F1: This reflects the weighted average price at which the shares were sold. The sale price ranged from $92.38 to $93.37. The reporting person will provide, upon request by the Commission staff, the issuer, or a security holder of the issuer, full information regarding the number of shares sold at each price.
F2: The option vested in accordance with the following schedule: 1,069 vested on February 7, 2015, 1,068 vested on February 7, 2016 and 1,068 vested on February 7, 2017.
F3: The option vested in accordance with the following schedule: 1,230 vested on February 10, 2018, 1,230 vested on February 10, 2019 and 1,230 vested on February 10, 2020.
F4: The option vested in accordance with the following schedule: 913 vested on February 21, 2019, 912 vested on February 21, 2020 and 913 vested on February 21, 2021.