Insider at

04

Insider transactions

05
0 buys (P) 6 sells (S) Net: $-1,160,462 + 84 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

84 other filings hidden
DateTickerCodeSharesPriceValue Owned afterΔ ownA/Dvs now
Sept. 2, 2026 RXT S 107,002 $2.95 $315,656 3,263,429 Direct -3.17% Disposed 39.7% (price as of 2026-10-02)
June 4, 2026 RXT S 48,099 $5.56 $267,430 3,370,431 Direct -1.41% Disposed -25.9% (price as of 2026-10-02)
March 18, 2026 RXT S 188,123 $1.81 $340,503 2,276,057 Direct -7.63% Disposed 127.6% (price as of 2026-10-02)
March 2, 2026 RXT S 45,393 $1.81 $82,161 2,464,180 Direct -1.81% Disposed 127.6% (price as of 2026-10-02)
Dec. 1, 2025 RXT S 59,322 $1.01 $59,915 2,509,573 Direct -2.31% Disposed 307.9% (price as of 2026-10-02)
Nov. 28, 2025 RXT S 91,151 $1.04 $94,797 2,568,895 Direct -3.43% Disposed 296.2% (price as of 2026-10-02)
March 17, 2025 RXT S 176,374 $1.87 $329,819 2,117,455 Direct -7.69% Disposed 120.3% (price as of 2026-10-02)
March 3, 2025 RXT S 17,480 $2.37 $41,428 2,293,829 Direct -0.76% Disposed 73.8% (price as of 2026-10-02)
Dec. 3, 2024 RXT S 23,357 $2.54 $59,327 2,311,309 Direct -1.00% Disposed 62.2% (price as of 2026-10-02)
Nov. 29, 2024 RXT S 88,548 $2.67 $236,423 2,334,166 Direct -3.65% Disposed 54.3% (price as of 2026-10-02)
July 25, 2024 RXT S 149,249 $2.36 $352,228 2,466,593 Direct -5.71% Disposed 74.6% (price as of 2026-10-02)
Nov. 28, 2023 RXT S 91,066 $1.28 $116,564 2,215,737 Direct -3.95% Disposed 221.9% (price as of 2026-10-02)
Oct. 7, 2020 CTSH S 10b5-1 10,000 $72.00 $720,000 18,016 Direct -35.69% Disposed -18.7% (price as of 2026-10-02)
Sept. 29, 2020 CTSH S 10b5-1 15,000 $70.00 $1,050,000 26,893 Direct -35.81% Disposed -16.4% (price as of 2026-10-02)
Sept. 23, 2020 CTSH S 10b5-1 24,453 $68.31 $1,670,384 42,440 Direct -36.56% Disposed -14.3% (price as of 2026-10-02)
Sept. 23, 2020 CTSH S 10b5-1 547 $69.08 $37,787 41,893 Direct -1.29% Disposed -15.3% (price as of 2026-10-02)

Showing latest 100 of 421 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.

06
DateTickerSecurityUnderlying Exercise priceExpirationSharesA/D
Jan. 1, 2021 CTSH Restricted Stock Units Class A Common Stock (2,208) · · 2,208 Disposed
Dec. 12, 2020 CTSH Restricted Stock Units Class A Common Stock (759) · · 759 Disposed
Dec. 12, 2020 CTSH Restricted Stock Units Class A Common Stock (1,549) · · 1,549 Disposed
Dec. 5, 2020 CTSH Restricted Stock Units Class A Common Stock (585) · · 585 Disposed
Dec. 1, 2020 CTSH Restricted Stock Units Class A Common Stock (336) · · 336 Disposed
Dec. 1, 2020 CTSH Restricted Stock Units Class A Common Stock (753) · · 753 Disposed
Dec. 1, 2020 CTSH Restricted Stock Units Class A Common Stock (7,032) · · 7,032 Acquired
Oct. 1, 2020 CTSH Restricted Stock Units Class A Common Stock (2,207) · · 2,207 Disposed
Sept. 12, 2020 CTSH Restricted Stock Units Class A Common Stock (758) · · 758 Disposed
Sept. 12, 2020 CTSH Restricted Stock Units Class A Common Stock (1,548) · · 1,548 Disposed
Sept. 5, 2020 CTSH Restricted Stock Units Class A Common Stock (585) · · 585 Disposed
Sept. 1, 2020 CTSH Restricted Stock Units Class A Common Stock (336) · · 336 Disposed
Sept. 1, 2020 CTSH Restricted Stock Units Class A Common Stock (753) · · 753 Disposed
July 1, 2020 CTSH Restricted Stock Units Class A Common Stock (2,208) · · 2,208 Disposed
June 12, 2020 CTSH Restricted Stock Units Class A Common Stock (759) · · 759 Disposed
June 12, 2020 CTSH Restricted Stock Units Class A Common Stock (1,549) · · 1,549 Disposed
June 5, 2020 CTSH Restricted Stock Units Class A Common Stock (585) · · 585 Disposed
June 1, 2020 CTSH Restricted Stock Units Class A Common Stock (336) · · 336 Disposed
June 1, 2020 CTSH Restricted Stock Units Class A Common Stock (753) · · 753 Disposed
April 1, 2020 CTSH Restricted Stock Units Class A Common Stock (2,207) · · 2,207 Disposed
March 12, 2020 CTSH Restricted Stock Units Class A Common Stock (759) · · 759 Disposed
March 12, 2020 CTSH Restricted Stock Units Class A Common Stock (1,548) · · 1,548 Disposed
March 5, 2020 CTSH Restricted Stock Units Class A Common Stock (7,020) · · 7,020 Acquired
March 1, 2020 CTSH Restricted Stock Units Class A Common Stock (336) · · 336 Disposed
March 1, 2020 CTSH Restricted Stock Units Class A Common Stock (754) · · 754 Disposed
Jan. 1, 2020 CTSH Restricted Stock Units Class A Common Stock (12,165) · · 12,165 Disposed
Dec. 12, 2019 CTSH Restricted Stock Units Class A Common Stock (759) · · 759 Disposed
Dec. 12, 2019 CTSH Restricted Stock Units Class A Common Stock (1,549) · · 1,549 Disposed
Dec. 2, 2019 CTSH Restricted Stock Units Class A Common Stock (26,490) · · 26,490 Acquired
Dec. 1, 2019 CTSH Restricted Stock Units Class A Common Stock (336) · · 336 Disposed
Dec. 1, 2019 CTSH Restricted Stock Units Class A Common Stock (753) · · 753 Disposed
Dec. 1, 2019 CTSH Restricted Stock Units Class A Common Stock (2,316) · · 2,316 Disposed
Sept. 12, 2019 CTSH Restricted Stock Units Class A Common Stock (758) · · 758 Disposed
Sept. 12, 2019 CTSH Restricted Stock Units Class A Common Stock (1,548) · · 1,548 Disposed
Sept. 1, 2019 CTSH Restricted Stock Units Class A Common Stock (336) · · 336 Disposed
Sept. 1, 2019 CTSH Restricted Stock Units Class A Common Stock (753) · · 753 Disposed
Sept. 1, 2019 CTSH Restricted Stock Units Class A Common Stock (2,316) · · 2,316 Disposed
July 1, 2019 CTSH Restricted Stock Units Class A Common Stock (6,082) · · 6,082 Disposed
June 12, 2019 CTSH Restricted Stock Units Class A Common Stock (759) · · 759 Disposed
June 12, 2019 CTSH Restricted Stock Units Class A Common Stock (1,548) · · 1,548 Disposed
June 1, 2019 CTSH Restricted Stock Units Class A Common Stock (335) · · 335 Disposed
June 1, 2019 CTSH Restricted Stock Units Class A Common Stock (753) · · 753 Disposed
June 1, 2019 CTSH Restricted Stock Units Class A Common Stock (2,316) · · 2,316 Disposed
March 12, 2019 CTSH Restricted Stock Units Class A Common Stock (1,549) · · 1,549 Disposed
March 12, 2019 CTSH Restricted Stock Units Class A Common Stock (759) · · 759 Disposed
March 1, 2019 CTSH Restricted Stock Units Class A Common Stock (754) · · 754 Disposed
March 1, 2019 CTSH Restricted Stock Units Class A Common Stock (2,316) · · 2,316 Disposed
March 1, 2019 CTSH Restricted Stock Units Class A Common Stock (393) · · 393 Disposed
Feb. 26, 2019 CTSH Restricted Stock Units [F3] Class A Common Stock (18,247) · · 18,247 Acquired
Feb. 26, 2019 CTSH Restricted Stock Units Class A Common Stock (4,031) · · 4,031 Acquired
Jan. 1, 2019 CTSH Restricted Stock Units Class A Common Stock (311) · Jan. 1, 2019 311 Disposed
Jan. 1, 2019 CTSH Restricted Stock Units Class A Common Stock (7,088) · Jan. 1, 2019 7,088 Disposed
Dec. 12, 2018 CTSH Restricted Stock Units Class A Common Stock (759) · Dec. 12, 2018 759 Disposed
Dec. 12, 2018 CTSH Restricted Stock Units Class A Common Stock (1,548) · Dec. 12, 2018 1,548 Disposed
Dec. 1, 2018 CTSH Restricted Stock Units Class A Common Stock (1,965) · Dec. 1, 2018 1,965 Disposed
Dec. 1, 2018 CTSH Restricted Stock Units Class A Common Stock (753) · Dec. 1, 2018 753 Disposed
Dec. 1, 2018 CTSH Restricted Stock Units Class A Common Stock (2,316) · Dec. 1, 2018 2,316 Disposed
Dec. 1, 2018 CTSH Restricted Stock Units Class A Common Stock (393) · Dec. 1, 2018 393 Disposed
Sept. 12, 2018 CTSH Restricted Stock Units Class A Common Stock (758) · Sept. 12, 2018 758 Disposed
Sept. 12, 2018 CTSH Restricted Stock Units Class A Common Stock (1,549) · Sept. 12, 2018 1,549 Disposed
Sept. 1, 2018 CTSH Restricted Stock Units Class A Common Stock (753) · Sept. 1, 2018 753 Disposed
Sept. 1, 2018 CTSH Restricted Stock Units Class A Common Stock (2,315) · Sept. 1, 2018 2,315 Disposed
Sept. 1, 2018 CTSH Restricted Stock Units Class A Common Stock (393) · Sept. 1, 2018 393 Disposed
July 1, 2018 CTSH Restricted Stock Units Class A Common Stock (154) · July 1, 2018 154 Disposed
July 1, 2018 CTSH Restricted Stock Units Class A Common Stock (3,544) · July 1, 2018 3,544 Disposed
June 12, 2018 CTSH Restricted Stock Units Class A Common Stock (9,105) · · 9,105 Acquired
June 12, 2018 CTSH Restricted Stock Units Class A Common Stock (1,548) · June 12, 2018 1,548 Disposed
June 1, 2018 CTSH Restricted Stock Units Class A Common Stock (753) · June 1, 2018 753 Disposed
June 1, 2018 CTSH Restricted Stock Units Class A Common Stock (2,316) · June 1, 2018 2,316 Disposed
June 1, 2018 CTSH Restricted Stock Units Class A Common Stock (393) · June 1, 2018 393 Disposed
March 12, 2018 CTSH Restricted Stock Units Class A Common Stock (1,548) · March 12, 2018 1,548 Disposed
March 1, 2018 CTSH Restricted Stock Units Class A Common Stock (393) · March 1, 2018 393 Disposed
March 1, 2018 CTSH Restricted Stock Units Class A Common Stock (2,316) · March 1, 2018 2,316 Disposed
Feb. 26, 2018 CTSH Restricted Stock Units [F4] Class A Common Stock (465) · · 465 Acquired
Feb. 26, 2018 CTSH Restricted Stock Units [F3] Class A Common Stock (10,632) · · 10,632 Acquired
Feb. 26, 2018 CTSH Restricted Stock Units Class A Common Stock (9,039) · · 9,039 Acquired
Dec. 12, 2017 CTSH Restricted Stock Units Class A Common Stock (18,581) · · 18,581 Acquired
Dec. 1, 2017 CTSH Restricted Stock Units Class A Common Stock (2,316) · Dec. 1, 2017 2,316 Disposed
Dec. 1, 2017 CTSH Restricted Stock Units Class A Common Stock (392) · Dec. 1, 2017 392 Disposed
Dec. 1, 2017 CTSH Restricted Stock Units Class A Common Stock (1,828) · Dec. 1, 2017 1,828 Disposed
Dec. 1, 2017 CTSH Restricted Stock Units Class A Common Stock (9,775) · Dec. 1, 2017 9,775 Disposed
Sept. 1, 2017 CTSH Restricted Stock Units Class A Common Stock (2,316) · Sept. 1, 2017 2,316 Disposed
Sept. 1, 2017 CTSH Restricted Stock Units Class A Common Stock (393) · Sept. 1, 2017 393 Disposed
Sept. 1, 2017 CTSH Restricted Stock Units Class A Common Stock (1,828) · Sept. 1, 2017 1,828 Disposed
June 1, 2017 CTSH Restricted Stock Units Class A Common Stock (2,316) · June 1, 2017 2,316 Disposed
June 1, 2017 CTSH Restricted Stock Units Class A Common Stock (393) · June 1, 2017 393 Disposed
June 1, 2017 CTSH Restricted Stock Units Class A Common Stock (1,964) · June 1, 2017 1,964 Disposed
June 1, 2017 CTSH Restricted Stock Units Class A Common Stock (1,827) · June 1, 2017 1,827 Disposed
March 2, 2017 CTSH Restricted Stock Units [F1,F2] Class A Common Stock (3,929) · · 3,929 Acquired
March 1, 2017 CTSH Restricted Stock Units Class A Common Stock (2,315) · March 1, 2017 2,315 Disposed
March 1, 2017 CTSH Restricted Stock Units Class A Common Stock (393) · March 1, 2017 393 Disposed
March 1, 2017 CTSH Restricted Stock Units Class A Common Stock (1,828) · March 1, 2017 1,828 Disposed
Dec. 3, 2016 CTSH Restricted Stock Units Class A Common Stock (5,920) · Dec. 3, 2016 5,920 Disposed
Dec. 3, 2016 CTSH Restricted Stock Units Class A Common Stock (1,000) · Dec. 3, 2016 1,000 Disposed
Dec. 1, 2016 CTSH Restricted Stock Units Class A Common Stock (27,790) · · 27,790 Acquired
Dec. 1, 2016 CTSH Restricted Stock Units Class A Common Stock (393) · Dec. 1, 2016 393 Disposed
Dec. 1, 2016 CTSH Restricted Stock Units Class A Common Stock (1,828) · Dec. 1, 2016 1,828 Disposed
Sept. 3, 2016 CTSH Restricted Stock Units Class A Common Stock (1,000) · Sept. 3, 2016 1,000 Disposed
Sept. 1, 2016 CTSH Restricted Stock Units Class A Common Stock (393) · Sept. 1, 2016 393 Disposed
Sept. 1, 2016 CTSH Restricted Stock Units Class A Common Stock (1,827) · Sept. 1, 2016 1,827 Disposed

Showing latest 100 of 140 transactions

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

Initial ownership (Form 3) 5 holdings

07

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

DateTickerSecuritySharesOwnership
Dec. 11, 2013 CTSH Class A Common Stock 1,799 Direct
Dec. 11, 2013 CTSH Restricted Stock Units→ Class A Common Stock (4,667) 4,667 Direct
Dec. 11, 2013 CTSH Restricted Stock Units→ Class A Common Stock (2,250) 2,250 Direct
Dec. 11, 2013 CTSH Restricted Stock Units→ Class A Common Stock (6,000) 6,000 Direct
Dec. 11, 2013 CTSH Restricted Stock Units [F5,F6]→ Class A Common Stock (1,948) 1,948 Direct

Compensation (DEF 14A)

08

Matched by name from proxy statements (DEF 14A) — verify against the filing.

RXT

President Public Cloud
Fiscal yearSalaryBonusStock awards Option awardsNon-equity incentivePension changeOtherTotal
2022 $300,000 $297,397 $7,744,396 · · · $6,750 $8,348,543

Figures from the Summary Compensation Table of the company's proxy statement (DEF 14A). Compensation is not a recommendation.