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MURPHY DANIEL L 4

Accession 0000909654-03-001236

CIK 0001020828other

Filed

Nov 3, 7:00 PM ET

Accepted

Nov 4, 6:58 PM ET

Size

23.4 KB

Accession

0000909654-03-001236

Insider Transaction Report

Form 4
Period: 2003-10-31
MURPHY DANIEL L
EVP & Retail Banking Officer
Transactions
  • Disposition to Issuer

    Common Stock

    2003-10-31123,5180 total
  • Disposition to Issuer

    Non-Statutory Stock Option (right to buy)

    2003-10-31163,5000 total
    Exercise: $18.40From: 2002-06-26Exp: 2011-06-26Common Stock (163,500 underlying)
  • Disposition to Issuer

    Common Stock

    2003-10-317,3020 total(indirect: By Stock Award II)
  • Disposition to Issuer

    Incentive Stock Option (right to buy)

    2003-10-3116,3080 total
    Exercise: $18.40From: 2002-06-26Exp: 2011-06-26Common Stock (16,308 underlying)
  • Disposition to Issuer

    Common Stock

    2003-10-3111,6230 total(indirect: By ESOP)
  • Disposition to Issuer

    Common Stock

    2003-10-315,8330 total(indirect: By Stock Award IV)
  • Disposition to Issuer

    Common Stock

    2003-10-3144,5470 total(indirect: By Stock Award III)
  • Disposition to Issuer

    Stock Option (right to buy)

    2003-10-31263,0010 total
    Exercise: $15.00From: 1998-09-02Exp: 2007-09-02Common Stock (263,001 underlying)
  • Disposition to Issuer

    Common Stock

    2003-10-3110,2820 total(indirect: By BRP)
  • Disposition to Issuer

    Common Stock

    2003-10-3121,8210 total(indirect: By 401(k))
  • Disposition to Issuer

    Non-Statutory Stock Option (right to buy)

    2003-10-3127,4320 total
    Exercise: $18.40From: 2002-06-26Exp: 2011-06-26Common Stock (27,432 underlying)
  • Disposition to Issuer

    Non-Statutory Stock Option (right to buy)

    2003-10-3124,6340 total
    Exercise: $21.35From: 2003-06-25Exp: 2012-06-25Common Stock (24,634 underlying)
Footnotes (15)
  • [F1]Since the reporting person's last report 7,086 shares previously held through Stock Award II have vested and are now owned directly.
  • [F10]Disposed of pursuant to merger agreement between issuer and New York Community Bancorp, Inc. in exchange for 4,374 shares of New York Community Bancorp, Inc. common stock having a market value of $36.20 per share on the closing date of the merger.
  • [F11]This option, which provided for vesting in three equal annual installments beginning June 26, 2002, was assumed by New York Community Bancorp, Inc. in the merger and replaced with an option to purchase 12,231 shares of New York Community Bancorp, Inc. common stock for $24.53 per share.
  • [F12]This option, which provided for vesting in four equal annual installments beginning June 26, 2002, was assumed by New York Community Bancorp, Inc. in the merger and replaced with an option to purchase 20,574 shares of New York Community Bancorp, Inc. common stock for $24.53 per share.
  • [F13]This option, which provided for vesting in four annual installments beginning June 26, 2002, was assumed by New York Community Bancorp, Inc. in the merger and replaced with an option to purchase 122,625 shares of New York Community Bancorp, Inc. common stock for $24.53 per share.
  • [F14]This option, which provided for vesting in three annual installments beginning June 25, 2003, was assumed by New York Community Bancorp, Inc. in the merger and replaced with an option to purchase 18,476 shares of New York Community Bancorp, Inc. common stock for $28.47 per share.
  • [F15]This option, which was fully vested, was assumed by New York Community Bancorp, Inc. in the merger and replaced with an option to purchase 197,251 shares of New York Community Bancorp, Inc. common stock for $20.00 per share.
  • [F2]Disposed of pursuant to merger agreement between issuer and New York Community Bancorp, Inc. in exchange for 92,638 shares of New York Community Bancorp, Inc. common stock having a market value of $36.20 per share on the closing date of the merger.
  • [F3]Disposed of pursuant to merger agreement between issuer and New York Community Bancorp, Inc. in exchange for 16,365 shares of New York Community Bancorp, Inc. common stock having a market value of $36.20 per share on the closing date of the merger.
  • [F4]This form reflects increases in beneficial ownership resulting from exempt acquisitions pursuant to Rule 16a-11.
  • [F5]Disposed of pursuant to merger agreement between issuer and New York Community Bancorp, Inc. in exchange for 7,711 shares of New York Community Bancorp, Inc. common stock having a market value of $36.20 per share on the closing date of the merger.
  • [F6]This form reflects increases in beneficial ownership resulting from exempt acquisitions under the BRP pursuant to Rule 16b-3(c).
  • [F7]Disposed of pursuant to merger agreement between issuer and New York Community Bancorp, Inc. in exchange for 8,717 shares of New York Community Bancorp, Inc. common stock having a market value of $36.20 per share on the closing date of the merger.
  • [F8]Disposed of pursuant to merger agreement between issuer and New York Community Bancorp, Inc. in exchange for 5,476 shares of New York Community Bancorp, Inc. common stock having a market value of $36.20 per share on the closing date of the merger.
  • [F9]Disposed of pursuant to merger agreement between issuer and New York Community Bancorp, Inc. in exchange for 33,410 shares of New York Community Bancorp, Inc. common stock having a market value of $36.20 per share on the closing date of the merger.

Documents

1 file

Issuer

ROSLYN BANCORP INC

CIK 0001020828

Entity typeother

Related Parties

1
  • filerCIK 0001230133

Filing Metadata

Form type
4
Filed
Nov 3, 7:00 PM ET
Accepted
Nov 4, 6:58 PM ET
Size
23.4 KB