Alan H Schumacher

CIK 1264230 · View on SEC EDGAR ↗

Insider

First SEC filing: Feb. 13, 2012 · Latest: June 26, 2020

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Insider transactions

0 buys (P) 0 sells (S) Net: $0 + 93 non-open-market transactions below last 12 months, based on the transactions shown below

Price change vs current quote, split-adjusted for corporate actions since the filing — not benchmarked, not annualized, not size-weighted

93 other filings hidden
Date Ticker Code Shares Price Value Owned after Δ own A/D vs now
Feb. 23, 2024 HCC P 2,000 $58.15 $116,300 30,270 Direct +7.07% Acquired 84.8% (price as of 2026-08-21)
Aug. 3, 2020 ACI P 1,500 $14.83 $22,245 75,539 Indirect +2.03% Acquired -18.3% (price as of 2026-08-21)
May 24, 2017 HCC P 3,000 $17.99 $53,970 3,000 Direct Acquired 497.3% (price as of 2026-08-21)
Aug. 17, 2015 BXC S 4,850 $0.90 $4,365 136,065 Direct -3.44% Disposed 840.6% (price as of 2026-08-21)
Aug. 17, 2015 BXC S 2,600 $0.94 $2,444 133,465 Direct -1.91% Disposed 800.5% (price as of 2026-08-21)
Aug. 17, 2015 BXC S 200 $0.96 $192 133,265 Direct -0.15% Disposed 781.8% (price as of 2026-08-21)
Aug. 17, 2015 BXC S 100 $0.92 $92 133,165 Direct -0.08% Disposed 820.1% (price as of 2026-08-21)

Showing latest 100 of 109 transactions

P = Open-market purchase · S = Sale · A = Grant/award · M = Option exercise · G = Gift · F = Tax withholding

Insider transactions are not a recommendation; sales are often driven by liquidity or tax reasons.

Derivative holdings (Form 4 Table II)

Options, RSUs and convertible securities reported on Form 4 Table II.

Date Ticker Security Underlying Exercise price Expiration Shares A/D
Aug. 7, 2026 ACI Dividend Equivalent Units Class A common stock, par value $0.01 (154) 154 Acquired
April 23, 2026 HCC Restricted Stock Units Common Stock (2,534) 2,534 Disposed
April 20, 2026 HCC Restricted Stock Units Common Stock (1,423) 1,423 Acquired
Nov. 7, 2025 ACI Dividend Equivalent Units Class A common stock, par value $0.01 (79) 79 Acquired
May 25, 2024 HCC Restricted Stock Units Common Stock (3,598) 3,598 Disposed
April 27, 2024 HCC Restricted Stock Units Common Stock (1,871) 1,871 Disposed
April 26, 2024 HCC Restricted Stock Units Common Stock (991) 991 Disposed
April 25, 2024 HCC Restricted Stock Units Common Stock (1,797) 1,797 Acquired
Feb. 9, 2024 ACI Dividend Equivalent Units Class A common stock, par value $0.01 (43) 43 Acquired
Nov. 14, 2023 ACI Dividend Equivalent Units Class A common stock, par value $0.01 (43) 43 Acquired
Aug. 10, 2023 ACI Dividend Equivalent Units Class A common stock, par value $0.01 (42) 42 Acquired
May 10, 2023 ACI Dividend Equivalent Units Class A common stock, par value $0.01 (44) 44 Acquired
April 27, 2023 HCC Restricted Stock Units Common Stock (1,870) 1,870 Disposed
April 26, 2023 HCC Restricted Stock Units Common Stock (991) 991 Disposed
April 25, 2023 HCC Restricted Stock Units Common Stock (3,598) 3,598 Acquired
April 24, 2023 HCC Restricted Stock Units Common Stock (3,317) 3,317 Disposed
March 20, 2023 ACI Restricted Stock Units Class A common stock, par value $0.01 (7,552) 7,552 Acquired
Feb. 27, 2023 ACI Restricted Stock Units Class A common stock, par value $0.01 (7,164) 7,164 Acquired
Feb. 27, 2023 ACI Restricted Stock Units Class A common stock, par value $0.01 (6,717) 6,717 Disposed
Feb. 10, 2023 ACI Dividend Equivalent Units Class A common stock, par value $0.01 (38) 38 Acquired
Jan. 20, 2023 ACI Dividend Equivalent Units Class A common stock, par value $0.01 (1,635) 1,635 Acquired
Nov. 14, 2022 ACI Dividend Equivalent Units Class A common stock, par value $0.01 (29) 29 Acquired
Aug. 10, 2022 ACI Dividend Equivalent Units Class A common stock, par value $0.01 (21) 21 Acquired
May 10, 2022 ACI Dividend Equivalent Units Class A common stock, par value $0.01 (20) 20 Acquired
April 27, 2022 HCC Restricted Stock Units Common Stock (1,870) 1,870 Disposed
April 26, 2022 HCC Restricted Stock Units Common Stock (2,975) 2,975 Acquired
April 24, 2022 HCC Restricted Stock Units Common Stock (3,317) 3,317 Disposed
April 22, 2022 HCC Restricted Stock Units Common Stock (1,091) 1,091 Disposed
Feb. 28, 2022 ACI Restricted Stock Units Class A common stock, par value $0.01 (4,974) 4,974 Acquired
Feb. 28, 2022 ACI Restricted Stock Units Class A common stock, par value $0.01 (7,870) 7,870 Disposed
Feb. 10, 2022 ACI Dividend Equivalent Units Class A common stock, par value $0.01 (33) 33 Acquired
Nov. 12, 2021 ACI Dividend Equivalent Units Class A common stock, par value $0.01 (27) 27 Acquired
Aug. 10, 2021 ACI Dividend Equivalent Units Class A common stock, par value $0.01 (27) 27 Acquired
May 12, 2021 ACI Restricted Stock Units Class A common stock, par value $0.01 (7,783) 7,783 Acquired
April 27, 2021 HCC Restricted Stock Units Common Stock (5,611) 5,611 Acquired
April 24, 2021 HCC Restricted Stock Units Common Stock (3,316) 3,316 Disposed
April 23, 2021 HCC Restricted Stock Units Common Stock (1,051) 1,051 Disposed
April 22, 2021 HCC Restricted Stock Units Common Stock (1,091) 1,091 Disposed
Feb. 27, 2021 ACI Restricted Stock Unit Class A common stock, par value $0.01 (11,800) 11,800 Disposed
May 21, 2020 BXC Restricted Stock Units Common Stock (12,000) 12,000 Acquired
April 27, 2020 HCC Restricted Stock Units Common Stock (1,389) 1,389 Disposed
April 24, 2020 HCC Restricted Stock Units Common Stock (9,950) 9,950 Acquired
April 23, 2020 HCC Restricted Stock Units Common Stock (1,050) 1,050 Disposed
April 22, 2020 HCC Restricted Stock Units Common Stock (1,090) 1,090 Disposed
May 17, 2019 BXC Restricted Stock Units Common Stock (5,335) 5,335 Acquired
April 27, 2019 HCC Restricted Stock Units Common Stock (1,389) 1,389 Disposed
April 23, 2019 HCC Restricted Stock Units Common Stock (1,050) 1,050 Disposed
April 22, 2019 HCC Restricted Stock Units Common Stock (3,272) 3,272 Acquired
April 27, 2018 HCC Restricted Stock Units Common Stock (1,388) 1,388 Disposed
April 23, 2018 HCC Restricted Stock Units Common Stock (3,151) 3,151 Acquired
Jan. 11, 2018 BXC Restricted Stock Units Common Stock (8,498) 8,498 Acquired
April 27, 2017 HCC Restricted Stock Units Common Stock (4,166) 4,166 Acquired
Jan. 11, 2017 BXC Restricted Stock Units Restricted Stock Units (12,517) 0 Acquired
March 31, 2016 BXC Restricted Stock Units Restricted Stock Units (147,541) 147,541 Acquired
March 31, 2016 BXC Restricted Stock Units Restricted Stock Units (147,541) 147,541 Acquired
Jan. 13, 2016 BXC Restricted Stock Units Common Stock (90,909) 90,909 Disposed
Jan. 13, 2016 BXC Restricted Stock Units Restricted Stock Units (90,909) 90,909 Disposed
Jan. 13, 2015 BXC Restricted Stock Units Restricted Stock Units (90,909) 90,909 Acquired
July 15, 2011 BXC Common Stock Rights (right to buy) Common Stock (950) $2.10 July 22, 2011 950 Disposed
July 15, 2011 BXC Common Stock Rights (right to buy) Common Stock (300) $2.10 July 22, 2011 300 Disposed
July 14, 2011 BXC Common Stock Rights (right to buy) Common Stock (6,500) $2.10 July 22, 2011 6,500 Disposed
March 1, 2006 BXC Stock Option (right to buy) Common Stock (10,000) $3.75 March 15, 2006 10,000 Disposed

Exercise/conversion price is blank when not applicable (e.g. RSUs).

Initial ownership (Form 3) 3 holdings

Securities held when first becoming an insider, per SEC Form 3.

Date Ticker Security Shares Ownership
June 26, 2020 ACI Class A common stock, par value $0.01 74,039 Indirect
June 26, 2020 ACI Restricted Stock Unit→ Class A common stock, par value $0.01 (11,800) 11,800 Direct
Dec. 13, 2004 BXC Stock Option (right to buy)→ Common Stock, par value $.01 per share (10,000) 10,000 Direct