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ZILLOW GROUP, INC. Director's Dealing 2017

May 11, 2017

30299_dirs_2017-05-11_7bcf997d-0333-4562-b45d-72c80e745fd3.zip

Director's Dealing

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SEC Form 4 — Statement of Changes in Beneficial Ownership

Issuer: ZILLOW GROUP, INC. (Z AND ZG)
CIK: 0001617640
Period of Report: 2017-05-09

Reporting Person: Levine Paul M. (President of Trulia)

Non-Derivative Transactions

Date Security Code Shares Price A/D Holdings After Ownership
2017-05-09 Class A Common Stock M 36544.0000 $2.9237 Acquired 76689.0000 Direct
2017-05-09 Class A Common Stock M 33505.0000 $26.3194 Acquired 110194.0000 Direct
2017-05-09 Class A Common Stock M 10416.0000 $37.9417 Acquired 120610.0000 Direct
2017-05-09 Class A Common Stock M 7440.0000 $30.4888 Acquired 128050.0000 Direct
2017-05-09 Class A Common Stock M 6660.0000 $18.3404 Acquired 134710.0000 Direct
2017-05-09 Class A Common Stock M 5312.0000 $37.9417 Acquired 140022.0000 Direct
2017-05-09 Class A Common Stock S 2483.0000 $43.3310 Disposed 137539.0000 Direct
2017-05-09 Class A Common Stock S 97394.0000 $42.6909 Disposed 40145.0000 Direct
2017-05-09 Class C Capital Stock M 73088.0000 $3.3731 Acquired 162093.0000 Direct
2017-05-09 Class C Capital Stock M 67010.0000 $30.3652 Acquired 229103.0000 Direct
2017-05-09 Class C Capital Stock M 21249.0000 $22.4100 Acquired 250352.0000 Direct
2017-05-09 Class C Capital Stock M 14880.0000 $35.1755 Acquired 265232.0000 Direct
2017-05-09 Class C Capital Stock M 13320.0000 $21.1597 Acquired 278552.0000 Direct
2017-05-09 Class C Capital Stock S 2400.0000 $43.2644 Disposed 276152.0000 Direct
2017-05-09 Class C Capital Stock S 187147.0000 $42.7387 Disposed 89005.0000 Direct

Derivative Transactions

Date Security Exercise Price Code Shares A/D Expiration Underlying Ownership
2017-05-09 Stock Option (Right to Buy) $2.9237 M 36544.0000 Disposed 2021-05-10 Class A Common Stock (36544.0000) Direct
2017-05-09 Stock Option (Right to Buy) $37.9417 M 10416.0000 Disposed 2025-02-18 Class A Common Stock (10416.0000) Direct
2017-05-09 Stock Option (Right to Buy) $18.3404 M 6660.0000 Disposed 2023-03-05 Class A Common Stock (6660.0000) Direct
2017-05-09 Stock Option (Right to Buy) $30.4888 M 7440.0000 Disposed 2025-02-10 Class A Common Stock (7440.0000) Direct
2017-05-09 Stock Option (Right to Buy) $26.3194 M 33505.0000 Disposed 2024-06-04 Class A Common Stock (33505.0000) Direct
2017-05-09 Stock Option (Right to Buy) $37.9417 M 5312.0000 Disposed 2022-02-18 Class A Common Stock (5312.0000) Direct
2017-05-09 Stock Option (Right to Buy) $21.1597 M 13320.0000 Disposed 2023-03-05 Class C Capital Stock (13320.0000) Direct
2017-05-09 Stock Option (Right to Buy) $35.1755 M 14880.0000 Disposed 2025-02-10 Class C Capital Stock (14880.0000) Direct
2017-05-09 Stock Option (Right to Buy) $3.3731 M 73088.0000 Disposed 2025-02-10 Class C Capital Stock (73088.0000) Direct
2017-05-09 Stock Option (Right to Buy) $22.4100 M 21249.0000 Disposed 2026-03-28 Class C Capital Stock (21249.0000) Direct
2017-05-09 Stock Option (Right to Buy) $30.3652 M 67010.0000 Disposed 2024-06-04 Class C Capital Stock (67010.0000) Direct

Footnotes

F1: The reported price is a weighted average sale price. These shares were sold in mulitiple transactions at prices ranging from $43.25 to $43.36. The reporting person will provide to the issuer, any security holder of the issuer, or the SEC staff, upon request, full information regarding the number of shares sold at each separate price within the range.

F2: The reported price is a weighted average sale price. These shares were sold in mulitiple transactions at prices ranging from $42.24 to $43.21. The reporting person will provide to the issuer, any security holder of the issuer, or the SEC staff, upon request, full information regarding the number of shares sold at each separate price within the range.

F3: The reported price is a weighted average sale price. These shares were sold in mulitiple transactions at prices ranging from $43.2301 to $43.31. The reporting person will provide to the issuer, any security holder of the issuer, or the SEC staff, upon request, full information regarding the number of shares sold at each separate price within the range.

F4: The reported price is a weighted average sale price. These shares were sold in mulitiple transactions at prices ranging from $42.23 to $43.23. The reporting person will provide to the issuer, any security holder of the issuer, or the SEC staff, upon request, full information regarding the number of shares sold at each separate price within the range.

F5: Date at which first vesting occurs is indicated. 1/4th of the total number of shares originally subject to the option become exercisable at the first vesting date and an additional 1/48th become exercisable each month thereafter until the option is fully vested.

F6: Date at which first vesting occurs is indicated. 1/16th of the total number of shares originally subject to the option becomes vested at the 1st vesting date and an additional 1/192 shall vest each month thereafter over the next 3 years; an additional 1/16th of the total number of shares originally subject to the option becomes vested on the 1-year anniversary of the 1st vesting date and an additional 1/192 becomes vested each month thereafter over the next 3 years; an additional 1/16th of the total number of shares originally subject to the option becomes vested on the 2-year anniversary of the 1st vesting date and an additional 1/192 becomes vested each month thereafter over the next 3 years; and an additional 1/16th of the total number of shares originally subject to the option becomes vested on the 3-year anniversary of the 1st vesting date and an additional 1/192 becomes vested each month thereafter over the next 3 years until the option is fully vested.

F7: Date at which first vesting occurs is indicated. 1/8th of the total number of shares originally subject to the option becomes vested at the first vesting date and an additional 1/16th becomes vested after each three month period thereafter over the next three and a half years.

F8: Date at which first vesting occurs is indicated. 1/16th of the total number of shares subject to the option become exercisable at the first vesting date and an additional 1/16th become exercisable on each issuer quarterly vesting date occuring thereafter until the option is fully vested.