PLATZER L WILBERT 4
4 · QUAKER CHEMICAL CORP · Filed Aug 12, 2021
Insider Transaction Report
Form 4
PLATZER L WILBERT
VP & Managing Dtr - Europe
Transactions
- Sale
Common Stock
2021-08-10$258.60/sh−842$217,741→ 3,491 total - Sale
Common Stock
2021-08-10$258.60/sh−923$238,688→ 3,491 total - Sale
Common Stock
2021-08-10$255.44/sh−700$178,807→ 2,791 total - Exercise/Conversion
Employee Stock Option (right to buy)
2021-08-10−613→ 0 totalExercise: $151.75Exp: 2025-02-26→ Common Stock (613 underlying) - Exercise/Conversion
Common Stock
2021-08-10$151.75/sh+613$93,023→ 4,104 total - Exercise/Conversion
Common Stock
2021-08-10$154.92/sh+842$130,443→ 4,333 total - Exercise/Conversion
Employee Stock Option (right to buy)
2021-08-10−923→ 1,844 totalExercise: $136.64Exp: 2027-03-30→ Common Stock (923 underlying) - Exercise/Conversion
Common Stock
2021-08-10$136.64/sh+923$126,119→ 4,414 total - Exercise/Conversion
Employee Stock Option (right to buy)
2021-08-10−842→ 842 totalExercise: $154.92Exp: 2026-02-25→ Common Stock (842 underlying) - Sale
Common Stock
2021-08-10$258.60/sh−613$158,522→ 3,491 total
Footnotes (4)
- [F1]The price reported in Column 4 is a weighted average price. These shares were sold in multiple transactions at prices ranging from $255.20 to $255.72, inclusive. The reporting person undertakes to provide to Quaker Chemical Corporation, d/b/a "Quaker Houghton", any security holder of Quaker Houghton, or the staff of the Securities and Exchange Commission, upon request, full information regarding the number of shares sold at each separate price within the ranges set forth in footnote (1) to this Form 4.
- [F2]The options for this grant vested in three annual installments: 614 shares on February 26, 2019; 614 shares on February 26, 2020; and 613 shares on February 26, 2021.
- [F3]The options for this grant vest in three annual installments: 842 shares on February 25, 2020; 842 shares on February 25, 2021; and 842 shares on February 25, 2022.
- [F4]The options for this grant vest in three annual installments: 923 shares on March 30, 2021; 922 shares on March 30, 2022; and 922 shares on March 30, 2023.