Insider at

04

Insider transactions

05
0 buys (P) 0 sells (S) Net: $0 + 89 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

89 other filings hidden
DateTickerCodeSharesPriceValue Owned afterΔ ownA/Dvs now
March 17, 2023 LILAP S 60,314 $7.75 $467,434 0 Indirect -100.00% Disposed 162.7% (price as of 2026-10-02)
March 17, 2023 LILAP P 60,314 $7.81 $471,052 12,203,603 Indirect +0.50% Acquired 160.7% (price as of 2026-10-02)
March 16, 2023 LILAP S 75,000 $7.78 $583,500 60,314 Indirect -55.43% Disposed 161.7% (price as of 2026-10-02)
March 16, 2023 LILAP P 75,000 $7.82 $586,500 12,143,289 Indirect +0.62% Acquired 160.4% (price as of 2026-10-02)
Nov. 1, 2022 CHTRP P 2,500 $377.33 $943,325 46,901 Direct +5.63% Acquired -94.1% (price as of 2026-10-02)
Nov. 1, 2022 CHTRP P 3,200 $376.66 $1,205,312 44,401 Direct +7.77% Acquired -94.1% (price as of 2026-10-02)
Nov. 1, 2022 CHTRP P 3,452 $375.44 $1,296,019 41,201 Direct +9.14% Acquired -94.1% (price as of 2026-10-02)
Nov. 1, 2022 CHTRP P 1,548 $374.42 $579,602 37,749 Direct +4.28% Acquired -94.1% (price as of 2026-10-02)
Nov. 1, 2022 CHTRP P 10,881 $373.02 $4,058,831 36,201 Direct +42.97% Acquired -94.1% (price as of 2026-10-02)
Nov. 1, 2022 CHTRP P 3,301 $372.49 $1,229,589 25,320 Direct +14.99% Acquired -94.0% (price as of 2026-10-02)
Nov. 1, 2022 CHTRP P 2,320 $371.52 $861,926 22,019 Direct +11.78% Acquired -94.0% (price as of 2026-10-02)

Showing latest 100 of 194 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
Sept. 15, 2026 EL Stock Units (Share Payout) Class A Common Stock (10) · · 10 Acquired
Sept. 15, 2026 EL Stock Units (Cash Payout) Class A Common Stock (8) · · 8 Acquired
July 21, 2026 EL Stock Units (Cash Payout) Class A Common Stock (328) · · 328 Acquired
June 15, 2026 EL Stock Units (Cash Payout) Class A Common Stock (8) · · 8 Acquired
June 15, 2026 EL Stock Units (Share Payout) Class A Common Stock (11) · · 11 Acquired
May 15, 2026 EL Stock Units (Cash Payout) Class A Common Stock (336) · · 336 Acquired
March 16, 2026 EL Stock Units (Share Payout) Class A Common Stock (11) · · 11 Acquired
March 16, 2026 EL Stock Units (Cash Payout) Class A Common Stock (6) · · 6 Acquired
Feb. 27, 2026 EL Stock Units (Cash Payout) Class A Common Stock (247) · · 247 Acquired
Dec. 15, 2025 EL Stock Units (Share Payout) Class A Common Stock (10) · · 10 Acquired
Dec. 15, 2025 EL Stock Units (Cash Payout) Class A Common Stock (5) · · 5 Acquired
Nov. 13, 2025 EL Stock Option (Right to Buy) [F1] Class A Common Stock (2,780) $89.92 Nov. 13, 2035 2,780 Acquired
Nov. 13, 2025 EL Stock Units (Share Payout) [F1] Class A Common Stock (783) · · 783 Acquired
Nov. 13, 2025 EL Stock Units (Share Payout) [F4] Class A Common Stock (2,000) · · 2,000 Acquired
Nov. 13, 2025 EL Stock Units (Cash Payout) [F5] Class A Common Stock (300) · · 300 Acquired
Sept. 16, 2025 EL Stock Units (Cash Payout) Class A Common Stock (4) · · 4 Acquired
July 10, 2025 EL Stock Units (Cash Payout) Class A Common Stock (293) · · 293 Acquired
June 16, 2025 EL Stock Units (Cash Payout) Class A Common Stock (4) · · 4 Acquired
May 22, 2025 EL Stock Units (Cash Payout) Class A Common Stock (419) · · 419 Acquired
March 17, 2025 EL Stock Units (Cash Payout) Class A Common Stock (2) · · 2 Acquired
March 15, 2025 LILAP Restricted Share Units A Class A Common Shares (7,874) · March 15, 2025 7,874 Disposed
March 15, 2025 LILAP Restricted Share Units C Class C Common Shares (15,748) · March 15, 2025 15,748 Disposed
March 14, 2025 LILAP Restricted Share Units A Class A Common Shares (7,477) · March 15, 2026 7,477 Acquired
March 14, 2025 LILAP Restricted Share Units C Class C Common Shares (14,954) · March 15, 2026 14,954 Acquired
Feb. 25, 2025 EL Stock Units (Cash Payout) Class A Common Stock (361) · · 361 Acquired
March 15, 2024 LILAP Restricted Share Units A Class A Common Shares (6,219) · March 15, 2024 6,219 Disposed
March 15, 2024 LILAP Restricted Share Units C Class C Common Shares (12,438) · March 15, 2024 12,438 Disposed
March 12, 2024 LILAP Restricted Share Units A Class A Common Shares (7,874) · March 15, 2025 7,874 Acquired
March 12, 2024 LILAP Restricted Share Units C Class C Common Shares (15,748) · March 15, 2025 15,748 Acquired
March 20, 2023 LILAP Restricted Share Units A Class A Common Shares (6,219) · March 15, 2024 6,219 Acquired
March 20, 2023 LILAP Restricted Share Units C Class C Common Shares (12,438) · March 15, 2024 12,438 Acquired
March 15, 2023 LILAP Restricted Share Units A Class A Common Shares (5,208) · · 5,208 Disposed
March 15, 2023 LILAP Restricted Share Units C Class C Common Shares (10,416) · · 10,416 Disposed
March 15, 2022 LILAP Restricted Share Units A Class A Common Shares (3,587) · · 3,587 Disposed
March 15, 2022 LILAP Restricted Share Units C Class C Common Shares (7,174) · · 7,174 Disposed
March 11, 2022 LILAP Restricted Share Units A Class A Common Shares (5,208) · · 5,208 Acquired
March 11, 2022 LILAP Restricted Share Units C Class C Common Shares (10,416) · · 10,416 Acquired
March 16, 2021 LILAP Restricted Share Units A Class A Common Shares (3,587) · · 3,587 Acquired
March 16, 2021 LILAP Restricted Share Units C Class C Common Shares (7,174) · · 7,174 Acquired
March 15, 2021 LILAP Restricted Share Units A Class A Common Shares (4,277) · · 4,277 Disposed
March 15, 2021 LILAP Restricted Share Units C Class C Common Shares (8,554) · · 8,554 Disposed
Oct. 5, 2020 LILAP Restricted Share Units C Class C Common Shares (372) · Oct. 5, 2020 372 Disposed
Oct. 1, 2020 LILAP Restricted Share Units C [F6] Class C Common Shares · Oct. 5, 2020 372 Acquired
Sept. 24, 2020 LILAP Subscription Right (Right to Buy) - Class C Common Shares [F5] Class C Common Shares (7,068) $7.14 · 7,068 Disposed
Sept. 24, 2020 LILAP Subscription Right (Right to Buy) - Class C Common Shares [F5] Class C Common Shares (28,057) $7.14 · 28,057 Disposed
Sept. 24, 2020 LILAP Subscription Right (Right to Buy) - Class C Common Shares [F5] Class C Common Shares (2,391,300) $7.14 · 2,391,300 Disposed
Sept. 24, 2020 LILAP Subscription Right (Right to Buy) - Class C Common Shares [F5] Class C Common Shares (535,700) $7.14 · 535,700 Disposed
April 1, 2020 LILAP Restricted Share Units A Class A Common Shares (2,084) · · 2,084 Disposed
April 1, 2020 LILAP Restricted Share Units C Class C Common Shares (4,168) · · 4,168 Disposed
March 13, 2020 LILAP Restricted Share Units A Class A Common Shares (4,277) · · 4,277 Acquired
March 13, 2020 LILAP Restricted Share Units C Class C Common Shares (8,554) · · 8,554 Acquired
May 1, 2019 LILAP Restricted Share Units A Class A Common Shares (3,030) · · 3,030 Disposed
May 1, 2019 LILAP Restricted Share Units C Class C Common Shares (6,060) · · 6,060 Disposed
April 1, 2019 LILAP Restricted Share Units A Class A Common Shares (2,084) · · 2,084 Acquired
April 1, 2019 LILAP Restricted Share Units C Class C Common Shares (4,168) · · 4,168 Acquired
May 1, 2018 LILAP Restricted Share Units A Class A Common Shares (3,030) · · 3,030 Acquired
May 1, 2018 LILAP Restricted Share Units C Class C Common Shares (6,060) · · 6,060 Acquired

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
Jan. 14, 2025 EL Class A Common Stock 1,692 Indirect
Jan. 14, 2025 EL Class B Common Stock→ Class A Common Stock (1,675,010) 1,675,010 Indirect
Jan. 14, 2025 EL Class B Common Stock→ Class A Common Stock (4,910,594) 4,910,594 Indirect
Jan. 14, 2025 EL Class B Common Stock→ Class A Common Stock (7,708,906) 7,708,906 Indirect
Sept. 14, 2010 CHTRP Class A Common Stock · Direct