Insider at

04

Insider transactions

05
1 buys (P) 0 sells (S) Net: $99,992 + 92 non-open-market transactions below Avg return of open purchases vs now: -35.3% 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

92 other filings hidden
DateTickerCodeSharesPriceValue Owned afterΔ ownA/Dvs now
Nov. 3, 2025 CRTO P 4,403 $22.71 $99,992 12,468 Direct +54.59% Acquired -35.3% (price as of 2026-10-06)
Aug. 16, 2022 TRIP S 15,000 $27.50 $412,500 33,523 Direct -30.91% Disposed -68.9% (price as of 2026-10-06)
Aug. 13, 2021 TRIP S 1,527 $35.44 $54,117 0 Direct -100.00% Disposed -75.8% (price as of 2026-10-06)
June 15, 2021 TRIP S 9,120 $40.96 $373,555 0 Direct -100.00% Disposed -79.1% (price as of 2026-10-06)
May 17, 2021 TRIP S 1,527 $41.00 $62,607 0 Direct -100.00% Disposed -79.1% (price as of 2026-10-06)
Jan. 8, 2021 TRIP S 23,603 $34.00 $802,502 0 Direct -100.00% Disposed -74.8% (price as of 2026-10-06)
Jan. 8, 2021 TRIP S 9,119 $34.00 $310,046 23,603 Direct -27.87% Disposed -74.8% (price as of 2026-10-06)
May 27, 2020 TRIP S 22,837 $22.75 $519,542 0 Direct -100.00% Disposed -62.4% (price as of 2026-10-06)

Showing latest 100 of 405 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
Nov. 15, 2022 TRIP Restricted Stock Units Common Stock (2,036) $0.00 Feb. 15, 2025 2,036 Disposed
Nov. 15, 2022 TRIP Restricted Stock Units Common Stock (2,745) $0.00 Feb. 15, 2024 2,745 Disposed
Aug. 15, 2022 TRIP Restricted Stock Units Common Stock (2,036) $0.00 Feb. 15, 2025 2,036 Disposed
Aug. 15, 2022 TRIP Restricted Stock Units Common Stock (2,744) $0.00 Feb. 15, 2024 2,744 Disposed
May 13, 2022 TRIP Restricted Stock Units Common Stock (2,035) $0.00 Feb. 15, 2025 2,035 Disposed
May 13, 2022 TRIP Restricted Stock Units Common Stock (2,745) $0.00 Feb. 15, 2024 2,745 Disposed
Feb. 22, 2022 TRIP Restricted Stock Units Common Stock (110,619) $0.00 Feb. 13, 2026 110,619 Acquired
Feb. 15, 2022 TRIP Restricted Stock Units Common Stock (8,143) $0.00 Feb. 15, 2025 8,143 Disposed
Feb. 15, 2022 TRIP Restricted Stock Units Common Stock (2,744) $0.00 Feb. 15, 2024 2,744 Disposed
Feb. 15, 2022 TRIP Restricted Stock Units Common Stock (6,480) $0.00 Feb. 16, 2023 6,480 Disposed
Feb. 15, 2022 TRIP Restricted Stock Units Common Stock (8,423) $0.00 Feb. 15, 2022 8,423 Disposed
Dec. 20, 2021 TRIP Restricted Stock Units Common Stock (42,415) $0.00 Dec. 21, 2021 42,415 Disposed
Nov. 15, 2021 TRIP Restricted Stock Units Common Stock (2,745) $0.00 Feb. 15, 2024 2,745 Disposed
Aug. 13, 2021 TRIP Restricted Stock Units Common Stock (2,744) $0.00 Feb. 15, 2024 2,744 Disposed
June 15, 2021 TRIP Restricted Stock Units Common Stock (16,389) $0.00 June 30, 2021 16,389 Disposed
May 14, 2021 TRIP Restricted Stock Units Common Stock (2,744) $0.00 Feb. 15, 2024 2,744 Disposed
Feb. 23, 2021 TRIP Stock Option Common Stock (35,511) $46.05 Feb. 15, 2031 35,511 Acquired
Feb. 23, 2021 TRIP Stock Option Common Stock (37,257) $46.05 Feb. 15, 2031 37,257 Acquired
Feb. 23, 2021 TRIP Restricted Stock Units Common Stock (32,573) $0.00 Feb. 15, 2025 32,573 Acquired
Feb. 12, 2021 TRIP Restricted Stock Units Common Stock (10,977) $0.00 Feb. 15, 2024 10,977 Disposed
Feb. 12, 2021 TRIP Restricted Stock Units Common Stock (6,481) $0.00 Feb. 16, 2023 6,481 Disposed
Feb. 12, 2021 TRIP Stock Option (Right to Buy) Common Stock (8,423) $41.65 Feb. 22, 2028 8,423 Disposed
Feb. 12, 2021 TRIP Restricted Stock Units Common Stock (13,111) $0.00 Feb. 15, 2021 13,111 Disposed
Dec. 18, 2020 TRIP Restricted Stock Units Common Stock (42,415) · Dec. 21, 2021 42,415 Disposed
June 15, 2020 TRIP Restricted Stock Units Common Stock (16,388) $0.00 June 15, 2021 16,388 Disposed
Feb. 25, 2020 TRIP Restricted Stock Units (TSR performance-based) Common Stock, Par Value $.001 Per Share (21,955) $0.00 Dec. 31, 2022 21,955 Acquired
Feb. 25, 2020 TRIP Stock Option Common Stock, Par Value $.001 Per Share (55,473) $25.62 Feb. 15, 2024 55,473 Acquired
Feb. 25, 2020 TRIP Restricted Stock Units Common Stock (43,911) $0.00 Feb. 15, 2024 43,911 Acquired
Feb. 15, 2020 TRIP Restricted Stock Units Common Stock (6,480) $0.00 Feb. 16, 2023 6,480 Disposed
Feb. 15, 2020 TRIP Restricted Stock Units Common Stock (8,422) $0.00 Feb. 15, 2022 8,422 Disposed
Feb. 15, 2020 TRIP Restricted Stock Units Common Stock (13,110) $0.00 Feb. 15, 2021 13,110 Disposed
Feb. 15, 2020 TRIP Restricted Stock Units Common Stock (4,446) $0.00 Feb. 15, 2020 4,446 Disposed
Dec. 20, 2019 TRIP Restricted Stock Units Common Stock (84,830) · Dec. 21, 2021 84,830 Acquired
Dec. 4, 2019 TRIP Restricted Stock Units Common Stock (2,830) $0.00 Feb. 16, 2023 2,830 Acquired
Dec. 4, 2019 TRIP Restricted Stock Units Common Stock (2,759) $0.00 Feb. 15, 2022 2,759 Acquired
Dec. 4, 2019 TRIP Restricted Stock Units Common Stock (2,863) $0.00 Feb. 15, 2021 2,863 Acquired
Dec. 4, 2019 TRIP Restricted Stock Units Common Stock (3,579) $42.81 June 15, 2021 3,579 Acquired
Dec. 4, 2019 TRIP Restricted Stock Units Common Stock (485) $0.00 Feb. 15, 2020 485 Acquired
Dec. 4, 2019 TRIP Restricted Stock Units (TSR performance-based) Common Stock, Par Value $.001 Per Share (1,415) $0.00 Feb. 16, 2022 1,415 Acquired
Dec. 4, 2019 TRIP Restricted Stock Units (TSR performance-based) Common Stock, Par Value $.001 Per Share (1,839) $0.00 Jan. 1, 2021 1,839 Acquired
June 15, 2019 TRIP Restricted Stock Units Common Stock (14,599) $42.81 June 15, 2021 14,599 Disposed
Feb. 27, 2019 TRIP Restricted Stock Units (TSR performance-based) Common Stock, Par Value $.001 Per Share $0.00 Feb. 16, 2022 11,546 Acquired
Feb. 27, 2019 TRIP Restricted Stock Units Common Stock (23,092) $0.00 Feb. 16, 2023 23,092 Acquired
Feb. 27, 2019 TRIP Stock Option Common Stock, Par Value $.001 Per Share (28,001) $54.13 Feb. 27, 2029 28,001 Acquired
Feb. 15, 2019 TRIP Restricted Stock Units Common Stock (7,503) $0.00 Feb. 15, 2022 7,503 Disposed
Feb. 15, 2019 TRIP Restricted Stock Units Common Stock (11,680) $0.00 Feb. 15, 2021 11,680 Disposed
Feb. 15, 2019 TRIP Restricted Stock Units Common Stock (3,961) $0.00 Feb. 15, 2020 3,961 Disposed
June 15, 2018 TRIP Restricted Stock Units Common Stock (14,600) $0.00 Feb. 15, 2021 14,600 Disposed
June 15, 2018 TRIP Restricted Stock Units Common Stock (14,600) $42.81 June 15, 2021 14,600 Disposed
Feb. 22, 2018 TRIP Stock Option (Right to Buy) Common Stock (35,408) $41.65 Feb. 22, 2028 35,408 Acquired
Feb. 22, 2018 TRIP Restricted Stock Units (TSR performance-based) Common Stock, Par Value $.001 Per Share (15,006) $0.00 Jan. 1, 2021 15,006 Acquired
Feb. 22, 2018 TRIP Restricted Stock Units Common Stock (30,012) $0.00 Feb. 15, 2022 30,012 Acquired
Feb. 22, 2018 TRIP Restricted Stock Units Common Stock (30,012) $0.00 Feb. 15, 2022 30,012 Acquired
Feb. 22, 2018 TRIP Stock Option (Right to Buy) Common Stock (35,408) $41.65 Feb. 15, 2022 35,408 Acquired
Feb. 22, 2018 TRIP Restricted Stock Units (TSR performance-based) Common Stock, Par Value $.001 Per Share (15,006) $0.00 Jan. 1, 2021 15,006 Acquired
Feb. 15, 2018 TRIP Restricted Stock Units Common Stock (11,680) $0.00 Feb. 15, 2021 11,680 Disposed
Feb. 15, 2018 TRIP Restricted Stock Units Common Stock (3,961) $0.00 Feb. 15, 2020 3,961 Disposed
Nov. 9, 2017 TRIP Restricted Stock Units Common Stock (12,058) $82.93 Nov. 9, 2017 12,058 Disposed
Feb. 27, 2017 TRIP Restricted Stock Units Common Stock (58,397) $42.81 June 15, 2021 58,397 Acquired
Feb. 27, 2017 TRIP Stock Option (Right to Buy) Common Stock (144,227) $42.81 Feb. 27, 2027 144,227 Acquired
Feb. 27, 2017 TRIP Restricted Stock Units Common Stock (46,718) $42.81 Feb. 15, 2021 46,718 Acquired
Feb. 15, 2017 TRIP Restricted Stock Units Common Stock (3,962) $0.00 Feb. 15, 2020 3,962 Disposed
Feb. 22, 2016 TRIP Restricted Stock Units Common Stock (15,845) $0.00 · 15,845 Acquired
Dec. 1, 2015 TRIP Restricted Stock Units Common Stock (24,116) $82.93 Nov. 9, 2018 24,116 Acquired
Dec. 1, 2015 TRIP Stock Option (Right to Buy) Common Stock (141,424) $82.93 Nov. 9, 2025 141,424 Acquired
Dec. 1, 2015 TRIP Restricted Stock Units Common Stock (24,116) $82.93 Dec. 3, 2018 24,116 Acquired
Dec. 1, 2015 TRIP Stock Option (Right to Buy) Common Stock (141,424) $82.93 Dec. 1, 2025 141,424 Acquired
Nov. 4, 2015 CMPR Stock Option (right to buy) Ordinary Shares (10,565) $50.00 May 4, 2020 10,565 Disposed
Nov. 4, 2015 CMPR Restricted Share Units (right to acquire) Ordinary Shares (1,450) · May 4, 2016 1,450 Disposed
Oct. 5, 2015 CMPR Share Option (right to buy) Ordinary Shares (10,565) $50.00 May 4, 2020 10,565 Disposed
Aug. 31, 2015 CMPR Restricted Share Units (right to acquire) Ordinary Shares (1,020) · May 31, 2017 1,020 Disposed
Aug. 14, 2015 CMPR Restricted Share Units (right to acquire) Ordinary Shares (1,097) · May 14, 2018 1,097 Disposed
Aug. 4, 2015 CMPR Restricted Share Units (right to acquire) Ordinary Shares (1,451) · May 4, 2016 1,451 Disposed
May 31, 2015 CMPR Restricted Share Units (right to acquire) Ordinary Shares (1,020) · May 31, 2017 1,020 Disposed
May 19, 2015 CMPR Restricted Share Units (right to acquire) Ordinary Shares (9,506) · May 19, 2019 9,506 Acquired
May 14, 2015 CMPR Restricted Share Units (right to acquire) Ordinary Shares (4,391) · May 14, 2018 4,391 Disposed
May 5, 2015 CMPR Restricted Share Units (right to acquire) Ordinary Shares (1,042) · May 5, 2015 1,042 Disposed
May 4, 2015 CMPR Share Option (right to buy) Ordinary Shares (21,130) $50.00 May 4, 2020 21,130 Disposed
May 4, 2015 CMPR Restricted Share Units (right to acquire) Ordinary Shares (1,450) · May 4, 2016 1,450 Disposed
March 20, 2015 CMPR Share Option (right to buy) Ordinary Shares (38,391) $50.00 May 4, 2020 38,391 Disposed
March 1, 2015 CMPR Restricted Share Units (right to acquire) Ordinary Shares (921) · March 1, 2015 921 Disposed
Feb. 28, 2015 CMPR Restricted Share Units (right to acquire) Ordinary Shares (1,020) · May 31, 2017 1,020 Disposed
Feb. 5, 2015 CMPR Restricted Share Units (right to acquire) Ordinary Shares (1,041) · May 5, 2015 1,041 Disposed
Feb. 4, 2015 CMPR Restricted Share Units (right to acquire) Ordinary Shares (1,451) · May 4, 2016 1,451 Disposed
Feb. 3, 2015 CMPR Share Option (right to buy) Ordinary Shares (7,269) $54.02 May 5, 2021 7,269 Disposed
Feb. 3, 2015 CMPR Share Option (right to buy) Ordinary Shares (25,000) $50.00 May 4, 2020 25,000 Disposed
Feb. 3, 2015 CMPR Share Option (right to buy) Ordinary Shares (10,655) $48.89 March 1, 2021 10,655 Disposed
Feb. 2, 2015 CMPR Share Option (right to buy) Ordinary Shares (7,611) $48.89 March 1, 2021 7,611 Disposed
Dec. 1, 2014 CMPR Restricted Share Units (right to acquire) Ordinary Shares (920) · March 1, 2015 920 Disposed
Nov. 30, 2014 CMPR Restricted Share Units (right to acquire) Ordinary Shares (1,020) · May 31, 2017 1,020 Disposed
Nov. 5, 2014 CMPR Restricted Share Units (right to acquire) Ordinary Shares (1,041) · May 5, 2015 1,041 Disposed
Nov. 4, 2014 CMPR Restricted Share Units (right to acquire) Ordinary Shares (1,451) · May 4, 2016 1,451 Disposed
Sept. 1, 2014 CMPR Restricted Share Units (right to acquire) Ordinary Shares (921) · March 1, 2015 921 Disposed
Aug. 31, 2014 CMPR Restricted Share Units (right to acquire) Ordinary Shares (1,020) · May 31, 2017 1,020 Disposed
Aug. 5, 2014 CMPR Restricted Share Units (right to acquire) Ordinary Shares (1,041) · May 5, 2015 1,041 Disposed
Aug. 4, 2014 CMPR Restricted Share Units (right to acquire) Ordinary Shares (1,450) · May 4, 2016 1,450 Disposed
July 1, 2014 CMPR Restricted Share Units (right to acquire) Ordinary Shares (150) · July 1, 2014 150 Disposed
June 1, 2014 CMPR Restricted Share Units (right to acquire) Ordinary Shares (920) · March 1, 2015 920 Disposed
May 31, 2014 CMPR Restricted Share Units (right to acquire) Ordinary Shares (4,081) · May 31, 2017 4,081 Disposed
May 14, 2014 CMPR Restricted Share Units (right to acquire) Ordinary Shares (17,561) · May 14, 2018 17,561 Acquired

Showing latest 100 of 153 transactions

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

Initial ownership (Form 3) 4 holdings

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

DateTickerSecuritySharesOwnership
March 18, 2026 LUXE Restricted Stock Unit [F1]→ Ordinary Share [F4] (15,276) 15,276 Direct
March 1, 2011 CMPR Ordinary Shares 0 Direct
March 1, 2011 CMPR Restricted Share Units (right to acquire)→ Ordinary Shares (10,313) 10,313 Direct
March 1, 2011 CMPR Restricted Share Units (right to acquire)→ Ordinary Shares (2,394) 2,394 Direct

Compensation (DEF 14A)

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

Fiscal yearSalaryBonusStock awards Option awardsNon-equity incentivePension changeOtherTotal
2016 $122,697 · · · · · · $122,697
2015 $310,683 · · · $550,988 · $35,067 $1,696,668
2014 $360,706 · · · $453,788 · $40,804 $1,555,279
Fiscal yearSalaryBonusStock awards Option awardsNon-equity incentivePension changeOtherTotal
2023 · · · · · · $265 $265
2022 $548,000 $1,071,449 · · $520,000 · $9,150 $5,148,586

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