Home/Filings/4/0001594590-15-000092
4//SEC Filing

PARAGON OFFSHORE PLC 4

Accession 0001594590-15-000092

CIK 0001594590operating

Filed

May 4, 8:00 PM ET

Accepted

May 5, 8:15 PM ET

Size

29.0 KB

Accession

0001594590-15-000092

Insider Transaction Report

Form 4
Period: 2015-05-01
Transactions
  • Exercise/Conversion

    Ordinary Shares of the Issuer, par value $0.01 per share

    2015-05-01+33,65368,893.914 total
  • Exercise/Conversion

    Ordinary Shares of the Issuer, par value $0.01 per share

    2015-05-01+4,67420,606.914 total
  • Award

    Restricted Stock Units

    2015-05-01+86,70586,705 total
    Ordinary Shares of the Issuer, par value $0.01 per share (86,705 underlying)
  • Exercise/Conversion

    Ordinary Shares of the Issuer, par value $0.01 per share

    2015-05-01+15,85615,932.914 total
  • Exercise/Conversion

    Restricted Stock Units

    2015-05-016450 total
    Ordinary Shares of the Issuer, par value $0.01 per share (645 underlying)
  • Exercise/Conversion

    Ordinary Shares of the Issuer, par value $0.01 per share

    2015-05-01+13,98935,240.914 total
  • Exercise/Conversion

    Restricted Stock Units

    2015-05-0133,6530 total
    Ordinary Shares of the Issuer, par value $0.01 per share (33,653 underlying)
  • Exercise/Conversion

    Ordinary Shares of the Issuer, par value $0.01 per share

    2015-05-01+64521,251.914 total
  • Tax Payment

    Ordinary Shares of the Issuer, par value $0.01 per share

    2015-05-01$1.73/sh31,381$54,28937,512.914 total
  • Exercise/Conversion

    Restricted Stock Units

    2015-05-0113,9890 total
    Ordinary Shares of the Issuer, par value $0.01 per share (13,989 underlying)
  • Exercise/Conversion

    Restricted Stock Units

    2015-05-0115,8560 total
    Ordinary Shares of the Issuer, par value $0.01 per share (15,856 underlying)
  • Exercise/Conversion

    Restricted Stock Units

    2015-05-014,6740 total
    Ordinary Shares of the Issuer, par value $0.01 per share (4,674 underlying)
Holdings
  • Ordinary Shares of the Issuer, par value $0.01 per share

    (indirect: By Trust)
    100.5
  • Ordinary Shares of the Issuer, par value $0.01 per share

    (indirect: By Trust)
    191
  • Ordinary Shares of the Issuer, par value $0.01 per share

    (indirect: By Trust)
    110.755
Footnotes (7)
  • [F1]The reporting person has indirect beneficial ownership of 100.5 of the Issuer's ordinary shares by UTMA Trust for Seth Ellis Taylor, 110.755 of the Issure's ordinary shares by UTMA Trust for Miriam Elaine Taylor and 191 of the Issuer's ordinary shares by Trust for Mary Ann Taylor.
  • [F2]Restricted stock units, which are one-for-one ordinary share equivalents, acquired by the reporting person on August 14, 2014 pursuant to the Issuers long term incentive plan and vested immediately prior to the Issuers annual general meeting of shareholders on May 1, 2015.
  • [F3]Restricted stock units, which are one-for-one ordinary share equivalents, acquired by the reporting person on September 30, 2014 pursuant to the Issuer's long term incentive plan and vested immediately prior to the Issuer's annual general meeting of shareholders on May 1, 2015.
  • [F4]Restricted stock units, which are one-for-one ordinary share equivalents, acquired by the reporting person on November 25, 2014 pursuant to the Issuers long term incentive plan and vested immediately prior to the Issuers annual general meeting of shareholders on May 1, 2015.
  • [F5]Restricted stock units, which are one-for-one ordinary share equivalents, acquired by the reporting person on December 31, 2014 pursuant to the Issuers long term incentive plan and vested immediately prior to the Issuers annual general meeting of shareholders on May 1, 2015.
  • [F6]Restricted stock units, which are one-for-one ordinary share equivalents, acquired by the reporting person on March 31, 2015 pursuant to the Issuer's long term incentive plan and vested immediately prior to the Issuer's annual general meeting of shareholders on May 1, 2015.
  • [F7]Restricted stock units, which are one-for-one ordinary share equivalents, acquired by the reporting person on May 1, 2015 pursuant to the Issuer's long term incentive plan and vest immediately prior to the Issuer's annual general meeting of shareholders in 2016.

Issuer

PARAGON OFFSHORE PLC

CIK 0001594590

Entity typeoperating
IncorporatedUnited Kingdom

Related Parties

1
  • filerCIK 0001594590

Filing Metadata

Form type
4
Filed
May 4, 8:00 PM ET
Accepted
May 5, 8:15 PM ET
Size
29.0 KB