Gregory Polcer
CIK 1441645 · View on SEC EDGAR ↗
First SEC filing: Nov. 9, 2020 · Latest: Nov. 9, 2020
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Insider transactions
Price change vs current quote, split-adjusted for corporate actions since the filing — not benchmarked, not annualized, not size-weighted
| Date | Ticker | Code | Shares | Price | Value | Owned after | Δ own | A/D | vs now |
|---|---|---|---|---|---|---|---|---|---|
| Nov. 9, 2020 | EL | S 10b5-1 | 14,069 | $255.00 | $3,587,595 | 79,314 Direct | -15.07% | Disposed | -61.1% (price as of 2026-08-19) |
| Nov. 9, 2020 | EL | S 10b5-1 | 14,068 | $248.97 | $3,502,510 | 93,383 Direct | -13.09% | Disposed | -60.1% (price as of 2026-08-19) |
| Nov. 3, 2020 | EL | S 10b5-1 | 648 | $226.24 | $146,604 | 79,314 Direct | -0.81% | Disposed | -56.1% (price as of 2026-08-19) |
| Nov. 3, 2020 | EL | S 10b5-1 | 1,198 | $224.78 | $269,286 | 79,962 Direct | -1.48% | Disposed | -55.8% (price as of 2026-08-19) |
| Nov. 3, 2020 | EL | S 10b5-1 | 500 | $223.63 | $111,815 | 81,160 Direct | -0.61% | Disposed | -55.6% (price as of 2026-08-19) |
| Sept. 8, 2020 | EL | S 10b5-1 | 50 | $214.82 | $10,741 | 79,314 Direct | -0.06% | Disposed | -53.8% (price as of 2026-08-19) |
| Sept. 8, 2020 | EL | S 10b5-1 | 2,208 | $214.01 | $472,534 | 79,364 Direct | -2.71% | Disposed | -53.6% (price as of 2026-08-19) |
| Sept. 8, 2020 | EL | S 10b5-1 | 1,833 | $213.26 | $390,906 | 81,572 Direct | -2.20% | Disposed | -53.5% (price as of 2026-08-19) |
| Nov. 1, 2019 | EL | S 10b5-1 | 127 | $187.91 | $23,865 | 79,314 Direct | -0.16% | Disposed | -47.2% (price as of 2026-08-19) |
| Nov. 1, 2019 | EL | S 10b5-1 | 234 | $186.90 | $43,735 | 79,441 Direct | -0.29% | Disposed | -46.9% (price as of 2026-08-19) |
| Nov. 1, 2019 | EL | S 10b5-1 | 921 | $186.20 | $171,490 | 79,675 Direct | -1.14% | Disposed | -46.7% (price as of 2026-08-19) |
| Nov. 1, 2019 | EL | S 10b5-1 | 671 | $185.18 | $124,256 | 80,596 Direct | -0.83% | Disposed | -46.4% (price as of 2026-08-19) |
| Nov. 1, 2019 | EL | S 10b5-1 | 1,044 | $184.29 | $192,399 | 81,267 Direct | -1.27% | Disposed | -46.1% (price as of 2026-08-19) |
| Sept. 4, 2019 | EL | S 10b5-1 | 201 | $203.04 | $40,811 | 79,314 Direct | -0.25% | Disposed | -51.1% (price as of 2026-08-19) |
| Sept. 4, 2019 | EL | S 10b5-1 | 684 | $201.99 | $138,161 | 79,515 Direct | -0.85% | Disposed | -50.9% (price as of 2026-08-19) |
| Sept. 4, 2019 | EL | S 10b5-1 | 1,594 | $201.20 | $320,713 | 80,199 Direct | -1.95% | Disposed | -50.7% (price as of 2026-08-19) |
| Sept. 4, 2019 | EL | S 10b5-1 | 2,885 | $200.00 | $577,000 | 81,793 Direct | -3.41% | Disposed | -50.4% (price as of 2026-08-19) |
| March 28, 2019 | EL | S 10b5-1 | 28,036 | $165.00 | $4,625,940 | 79,314 Direct | -26.12% | Disposed | -39.8% (price as of 2026-08-19) |
| Feb. 5, 2019 | EL | S 10b5-1 | 23,717 | $155.00 | $3,676,135 | 79,314 Direct | -23.02% | Disposed | -36.0% (price as of 2026-08-19) |
| Feb. 5, 2019 | EL | S 10b5-1 | 22,516 | $149.47 | $3,365,467 | 103,031 Direct | -17.93% | Disposed | -33.6% (price as of 2026-08-19) |
| March 29, 2018 | EL | S 10b5-1 | 40,797 | $150.00 | $6,119,550 | 69,909 Direct | -36.85% | Disposed | -33.8% (price as of 2026-08-19) |
| Feb. 15, 2018 | EL | S 10b5-1 | 46,644 | $140.00 | $6,530,160 | 69,909 Direct | -40.02% | Disposed | -29.1% (price as of 2026-08-19) |
| Nov. 2, 2017 | EL | S 10b5-1 | 200 | $121.56 | $24,312 | 69,909 Direct | -0.29% | Disposed | -18.3% (price as of 2026-08-19) |
| Nov. 2, 2017 | EL | S 10b5-1 | 1,476 | $120.32 | $177,592 | 70,109 Direct | -2.06% | Disposed | -17.5% (price as of 2026-08-19) |
| Nov. 2, 2017 | EL | S 10b5-1 | 1,800 | $119.68 | $215,424 | 71,585 Direct | -2.45% | Disposed | -17.1% (price as of 2026-08-19) |
| Nov. 1, 2017 | EL | S 10b5-1 | 53,896 | $120.00 | $6,467,520 | 73,385 Direct | -42.34% | Disposed | -17.3% (price as of 2026-08-19) |
| Oct. 4, 2017 | EL | S 10b5-1 | 25,000 | $110.00 | $2,750,000 | 69,909 Direct | -26.34% | Disposed | -9.8% (price as of 2026-08-19) |
| Sept. 22, 2017 | EL | S 10b5-1 | 400 | $108.68 | $43,472 | 69,909 Direct | -0.57% | Disposed | -8.7% (price as of 2026-08-19) |
| Sept. 22, 2017 | EL | S 10b5-1 | 2,330 | $108.01 | $251,663 | 70,309 Direct | -3.21% | Disposed | -8.1% (price as of 2026-08-19) |
| Sept. 1, 2017 | EL | S | 65,000 | $107.83 | $7,008,950 | 69,909 Direct | -48.18% | Disposed | -7.9% (price as of 2026-08-19) |
| Nov. 2, 2016 | EL | S 10b5-1 | 500 | $83.84 | $41,920 | 69,909 Direct | -0.71% | Disposed | 18.4% (price as of 2026-08-19) |
| Nov. 2, 2016 | EL | S 10b5-1 | 900 | $82.96 | $74,664 | 70,409 Direct | -1.26% | Disposed | 19.7% (price as of 2026-08-19) |
| Nov. 2, 2016 | EL | S 10b5-1 | 2,133 | $81.72 | $174,309 | 71,309 Direct | -2.90% | Disposed | 21.5% (price as of 2026-08-19) |
| Sept. 8, 2016 | EL | S 10b5-1 | 3,602 | $88.01 | $317,012 | 69,909 Direct | -4.90% | Disposed | 12.8% (price as of 2026-08-19) |
| Aug. 18, 2016 | EL | S 10b5-1 | 15,000 | $95.00 | $1,425,000 | 69,909 Direct | -17.67% | Disposed | 4.5% (price as of 2026-08-19) |
| June 23, 2016 | EL | S 10b5-1 | 35,000 | $94.73 | $3,315,550 | 69,909 Direct | -33.36% | Disposed | 4.8% (price as of 2026-08-19) |
Showing latest 100 of 156 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 |
|---|---|---|---|---|---|---|---|
| Nov. 9, 2020 | EL | Stock Options | Class A Common Stock (28,137) | — | Sept. 6, 2026 | 28,137 | Disposed |
| Nov. 2, 2020 | EL | Restricted Stock Units (Share Payout) [F9] | Class A Common Stock (1,158) | — | Nov. 1, 2022 | 1,158 | Disposed |
| Nov. 2, 2020 | EL | Restricted Stock Units (Share Payout) [F9] | Class A Common Stock (1,644) | — | Nov. 1, 2021 | 1,644 | Disposed |
| Nov. 2, 2020 | EL | Restricted Stock Units (Share Payout) [F9] | Class A Common Stock (2,216) | — | Nov. 2, 2020 | 2,216 | Disposed |
| Sept. 3, 2020 | EL | Restricted Stock Units (Share Payout) | Class A Common Stock (4,136) | — | — | 4,136 | Acquired |
| Sept. 3, 2020 | EL | Option (Right to Buy) | Class A Common Stock (15,521) | $218.06 | Sept. 3, 2030 | 15,521 | Acquired |
| Oct. 31, 2019 | EL | Restricted Stock Units (Share Payout) [F10] | Class A Common Stock (1,644) | — | Nov. 1, 2021 | 1,644 | Disposed |
| Oct. 31, 2019 | EL | Restricted Stock Units (Share Payout) [F10] | Class A Common Stock (2,216) | — | Nov. 2, 2020 | 2,216 | Disposed |
| Oct. 31, 2019 | EL | Restricted Stock Units (Share Payout) [F10] | Class A Common Stock (2,549) | — | Oct. 31, 2019 | 2,549 | Disposed |
| Sept. 3, 2019 | EL | Restricted Stock Units (Share Payout) | Class A Common Stock (3,474) | — | — | 3,474 | Acquired |
| Sept. 3, 2019 | EL | Option (Right to Buy) | Class A Common Stock (12,641) | $199.49 | Sept. 3, 2029 | 12,641 | Acquired |
| March 28, 2019 | EL | Option (Right to Buy) | Class A Common Stock (28,036) | $77.35 | Sept. 4, 2025 | 28,036 | Disposed |
| Feb. 5, 2019 | EL | Option (Right to Buy) | Class A Common Stock (23,717) | $76.23 | Sept. 3, 2024 | 23,717 | Disposed |
| Feb. 5, 2019 | EL | Option (Right to Buy) | Class A Common Stock (22,516) | $67.31 | Sept. 4, 2023 | 22,516 | Disposed |
| Oct. 31, 2018 | EL | Restricted Stock Units (Share Payout) [F4] | Class A Common Stock (2,215) | — | Nov. 2, 2020 | 2,215 | Disposed |
| Oct. 31, 2018 | EL | Restricted Stock Units (Share Payout) [F4] | Class A Common Stock (2,548) | — | Oct. 31, 2019 | 2,548 | Disposed |
| Oct. 31, 2018 | EL | Restricted Stock Units (Share Payout) [F4] | Class A Common Stock (2,790) | — | Oct. 31, 2018 | 2,790 | Disposed |
| Sept. 4, 2018 | EL | Restricted Stock Units (Share Payout) | Class A Common Stock (4,932) | — | — | 4,932 | Acquired |
| Sept. 4, 2018 | EL | Option (Right to Buy) | Class A Common Stock (16,477) | $138.15 | Sept. 4, 2028 | 16,477 | Acquired |
| March 29, 2018 | EL | Option (Right to Buy) | Class A Common Stock (40,797) | $59.78 | Sept. 4, 2022 | 40,797 | Disposed |
| Feb. 15, 2018 | EL | Option (Right to Buy) | Class A Common Stock (46,644) | $49.09 | Sept. 1, 2021 | 46,644 | Disposed |
| Nov. 1, 2017 | EL | Option (Right to Buy) | Class A Common Stock (53,896) | $29.04 | Sept. 1, 2020 | 53,896 | Disposed |
| Oct. 31, 2017 | EL | Restricted Stock Units (Share Payout) [F10] | Class A Common Stock (2,548) | — | Oct. 31, 2019 | 2,548 | Disposed |
| Oct. 31, 2017 | EL | Restricted Stock Units (Share Payout) [F10] | Class A Common Stock (2,790) | — | Oct. 31, 2018 | 2,790 | Disposed |
| Oct. 31, 2017 | EL | Restricted Stock Units (Share Payout) [F10] | Class A Common Stock (2,534) | — | Oct. 31, 2017 | 2,534 | Disposed |
| Oct. 4, 2017 | EL | Option (Right to Buy) | Class A Common Stock (25,000) | $29.04 | Sept. 1, 2020 | 25,000 | Disposed |
| Sept. 5, 2017 | EL | Restricted Stock Units (Share Payout) | Class A Common Stock (6,647) | — | — | 6,647 | Acquired |
| Sept. 5, 2017 | EL | Option (Right to Buy) | Class A Common Stock (24,344) | $107.95 | Sept. 5, 2027 | 24,344 | Acquired |
| Sept. 1, 2017 | EL | Option (Right to Buy) | Class A Common Stock (65,000) | $17.00 | Sept. 2, 2019 | 65,000 | Disposed |
| Oct. 31, 2016 | EL | Restricted Stock Units (Share Payout) | Class A Common Stock (8,000) | — | — | 8,000 | Disposed |
| Sept. 6, 2016 | EL | Restricted Stock Units (Share Payout) | Class A Common Stock (7,645) | — | — | 7,645 | Acquired |
| Sept. 6, 2016 | EL | Option (Right to Buy) | Class A Common Stock (28,137) | $89.47 | Sept. 6, 2026 | 28,137 | Acquired |
| Aug. 18, 2016 | EL | Option (Right to Buy) | Class A Common Stock (15,000) | $26.42 | Sept. 11, 2018 | 15,000 | Disposed |
| June 23, 2016 | EL | Option (Right to Buy) | Class A Common Stock (35,000) | $26.42 | Sept. 11, 2018 | 35,000 | Disposed |
| Nov. 2, 2015 | EL | Restricted Stock Units (Share Payout) | Class A Common Stock (7,723) | — | — | 7,723 | Disposed |
| Sept. 4, 2015 | EL | Restricted Stock Units (Share Payout) | Class A Common Stock (8,370) | — | — | 8,370 | Acquired |
| Sept. 4, 2015 | EL | Option (Right to Buy) | Class A Common Stock (28,036) | $77.35 | Sept. 4, 2025 | 28,036 | Acquired |
| Oct. 31, 2014 | EL | Restricted Stock Units (Share Payout) | Class A Common Stock (8,349) | — | — | 8,349 | Disposed |
| Sept. 3, 2014 | EL | Restricted Stock Units (Share Payout) | Class A Common Stock (7,602) | — | — | 7,602 | Acquired |
| Sept. 3, 2014 | EL | Option (Right to Buy) | Class A Common Stock (23,717) | $76.23 | Sept. 3, 2024 | 23,717 | Acquired |
| Oct. 31, 2013 | EL | Restricted Stock Units (Share Payout) | Class A Common Stock (10,234) | — | — | 10,234 | Disposed |
| Sept. 4, 2013 | EL | Restricted Stock Units (Share Payout) | Class A Common Stock | — | — | 8,026 | Acquired |
| Sept. 4, 2013 | EL | Option (Right to Buy) | Class A Common Stock (22,516) | — | Sept. 4, 2023 | 22,516 | Acquired |
| Sept. 4, 2013 | EL | Option (Right to Buy) | Class A Common Stock (22,516) | $67.30 | Sept. 4, 2023 | 22,516 | Acquired |
| Sept. 4, 2013 | EL | Restricted Stock Units (Share Payout) | Class A Common Stock (5,350) | — | — | 5,350 | Acquired |
| Oct. 31, 2012 | EL | Restricted Stock Units (Share Payout) | Class A Common Stock (11,484) | — | — | 11,484 | Disposed |
| Sept. 4, 2012 | EL | Restricted Stock Units (Share Payout) | Class A Common Stock (7,542) | — | — | 7,542 | Acquired |
| Sept. 4, 2012 | EL | Option (Right to Buy) | Class A Common Stock (40,797) | $59.78 | Sept. 4, 2022 | 40,797 | Acquired |
| Sept. 4, 2012 | EL | Restricted Stock Units (Share Payout) | Class A Common Stock (7,542) | — | — | 7,542 | Acquired |
| Sept. 4, 2012 | EL | Option (Right to Buy) | Class A Common Stock (40,797) | $59.78 | Sept. 4, 2022 | 40,797 | Acquired |
| Oct. 31, 2011 | EL | Restricted Stock Units (Share Payout) | Class A Common Stock (7,071) | — | — | 7,071 | Disposed |
| Sept. 1, 2011 | EL | Restricted Stock Units (Share Payout) | Class A Common Stock (4,740) | $0.00 | — | 4,740 | Acquired |
| Sept. 1, 2011 | EL | Option (Right to Buy) | Class A Common Stock (23,322) | $98.17 | Sept. 1, 2021 | 23,322 | Acquired |
| Nov. 1, 2010 | EL | Restricted Stock Units (Share Payout) | Class A Common Stock (3,960) | — | — | 3,960 | Disposed |
| Sept. 1, 2010 | EL | Option (Right to Buy) | Class A Common Stock (39,448) | $58.08 | Sept. 1, 2020 | 39,448 | Acquired |
| Sept. 1, 2010 | EL | Restricted Stock Units (Share Payout) | Class A Common Stock (6,839) | $0.00 | — | 6,839 | Acquired |
| Nov. 2, 2009 | EL | Restricted Stock Units (Share Payout) | Class A Common Stock (1,456) | — | — | 1,456 | Disposed |
| Sept. 3, 2009 | EL | Restricted Stock Units (Share Payout) | Class A Common Stock (2,078) | $0.00 | — | 2,078 | Acquired |
| Sept. 2, 2009 | EL | Option (Right to Buy) | Class A Common Stock (32,500) | $34.00 | Sept. 2, 2019 | 32,500 | Acquired |
| Sept. 2, 2009 | EL | Restricted Stock Units (Share Payout) | Class A Common Stock (5,644) | $0.00 | — | 5,644 | Acquired |
| Sept. 11, 2008 | EL | Restricted Stock Units (Share Payout) | Class A Common Stock (4,368) | $0.00 | — | 4,368 | Acquired |
| Sept. 11, 2008 | EL | Option (Right to Buy) | Class A Common Stock (25,000) | $52.83 | Sept. 11, 2018 | 25,000 | Acquired |
Exercise/conversion price is blank when not applicable (e.g. RSUs).