Schoenberg Mark 4
4 · UroGen Pharma Ltd. · Filed Jun 24, 2026
Research Summary
AI-generated summary of this filing
UroGen (URGN) CMO Mark Schoenberg Sells 10,000 Shares
What Happened
Mark Schoenberg, Chief Medical Officer of UroGen Pharma Ltd. (URGN), sold 10,000 shares on 2026-06-22 in an open-market transaction. The weighted average sale price was $35.01 per share (range $35.00–$35.08), for aggregate proceeds of approximately $350,100. This was a sale (S) and not a purchase—sales are often routine and may not indicate a change in sentiment.
Key Details
- Transaction date: 2026-06-22; Form filed: 2026-06-24 (filed within typical two-business-day window).
- Shares sold: 10,000; weighted average price: $35.01; price range: $35.00–$35.08.
- Total reported proceeds: ~$350,100.
- Shares owned after transaction: not disclosed in the provided filing.
- Footnote F1: Trade executed pursuant to a Rule 10b5-1(c) trading plan adopted 2025-08-15 (pre-scheduled plan).
- Footnote F2: Price is weighted average; seller can provide per-trade breakdown on request.
Context
Sales made under an established 10b5-1 plan are typically pre-planned and reduce the likelihood that the trade reflects the insider’s immediate view of company prospects. For retail investors, purchases usually carry more informational weight than routine sales; this transaction should be viewed as a planned disposition unless other disclosures suggest otherwise.
Insider Transaction Report
- Sale
Ordinary Shares
[F1][F2]2026-06-22$35.01/sh−10,000$350,100→ 129,763 total
Footnotes (2)
- [F1]Transaction made pursuant to duly adopted trading plan under Rule 10b5-1(c). Adoption date of referenced 10b5-1(c) plan is: 08-15-2025.
- [F2]The price reported in Column 4 is a weighted average price. These shares were sold in multiple transactions at prices ranging from $35.00 and $35.08. The reporting person undertakes to provide the Issuer, any security holder of the Issuer, or the staff of the Securities and Exchange Commission, upon request, full information regarding the number of shares purchased at each separate price within the range.