J C Sparkman
CIK 1216551 · View on SEC EDGAR ↗
First SEC filing: June 17, 2013 · Latest: Feb. 14, 2018
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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 |
|---|---|---|---|---|---|---|---|---|---|
| June 12, 2019 | UEIC | S | 2,000 | $40.51 | $81,020 | 0 Indirect | -100.00% | Disposed | -88.2% (price as of 2026-08-20) |
| May 9, 2019 | UEIC | S | 1,000 | $44.63 | $44,630 | 47,771 Direct | -2.05% | Disposed | -89.3% (price as of 2026-08-20) |
| May 8, 2019 | UEIC | S | 1,000 | $44.63 | $44,630 | 47,771 Direct | -2.05% | Disposed | -89.3% (price as of 2026-08-20) |
| Dec. 15, 2017 | UEIC | P | 2,000 | $47.50 | $95,000 | 2,000 Indirect | — | Acquired | -89.9% (price as of 2026-08-20) |
| Sept. 7, 2016 | UEIC | S | 53 | $76.51 | $4,055 | 36,221 Direct | -0.15% | Disposed | -93.7% (price as of 2026-08-20) |
| Sept. 6, 2016 | UEIC | S | 3,350 | $76.57 | $256,510 | 36,221 Direct | -8.47% | Disposed | -93.7% (price as of 2026-08-20) |
| Sept. 6, 2016 | UEIC | S | 5,447 | $76.54 | $416,913 | 39,571 Direct | -12.10% | Disposed | -93.7% (price as of 2026-08-20) |
| Aug. 30, 2016 | UEIC | S | 400 | $76.50 | $30,600 | 39,571 Direct | -1.00% | Disposed | -93.7% (price as of 2026-08-20) |
| Aug. 29, 2016 | UEIC | S | 4,500 | $76.60 | $344,700 | 39,971 Direct | -10.12% | Disposed | -93.7% (price as of 2026-08-20) |
| Nov. 18, 2015 | UEIC | S | 8,896 | $50.16 | $446,223 | 36,221 Direct | -19.72% | Disposed | -90.5% (price as of 2026-08-20) |
| Nov. 18, 2015 | UEIC | S | 8,896 | $50.16 | $446,223 | 36,221 Direct | -19.72% | Disposed | -90.5% (price as of 2026-08-20) |
Showing latest 100 of 251 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 |
|---|---|---|---|---|---|---|---|
| July 1, 2020 | UEIC | Restricted Stock Units | Common Stock (5,000) | — | — | 5,000 | Acquired |
| July 1, 2020 | UEIC | Restricted Stock Units | Common Stock (1,250) | — | — | 1,250 | Disposed |
| March 31, 2020 | UEIC | Restricted Stock Units | Common Stock (1,250) | — | — | 1,250 | Disposed |
| Dec. 31, 2019 | UEIC | Restricted Stock Units | Common Stock (1,250) | — | — | 1,250 | Disposed |
| Sept. 30, 2019 | UEIC | Restricted Stock Units | Common Stock (1,250) | — | — | 1,250 | Disposed |
| July 1, 2019 | UEIC | Restricted Stock Units | Common Stock (5,000) | — | — | 5,000 | Acquired |
| June 30, 2019 | UEIC | Restricted Stock Units | Common Stock (1,250) | — | — | 1,250 | Disposed |
| March 31, 2019 | UEIC | Restricted Stock Units | Common Stock (1,250) | — | — | 1,250 | Disposed |
| Dec. 31, 2018 | UEIC | Restricted Stock Units | Common Stock (1,250) | — | — | 1,250 | Disposed |
| Sept. 30, 2018 | UEIC | Restricted Stock Units | Common Stock (1,250) | — | — | 1,250 | Disposed |
| July 1, 2018 | UEIC | Restricted Stock Units | Common Stock (5,000) | — | — | 5,000 | Acquired |
| June 30, 2018 | UEIC | Restricted Stock Units | Common Stock (1,250) | — | — | 1,250 | Disposed |
| March 31, 2018 | UEIC | Restricted Stock Units | Common Stock (1,250) | — | — | 1,250 | Disposed |
| Dec. 31, 2017 | UEIC | Restricted Stock Units | Common Stock (1,250) | — | — | 1,250 | Disposed |
| Sept. 30, 2017 | UEIC | Restricted Stock Units | Common Stock (1,250) | — | — | 1,250 | Disposed |
| Sept. 11, 2017 | UEIC | Stock Option (Rt. to Buy) | Common Stock (25,000) | $48.61 | Feb. 10, 2023 | 25,000 | Disposed |
| July 1, 2017 | UEIC | Restricted Stock Units | Common Stock (5,000) | — | — | 5,000 | Acquired |
| June 30, 2017 | UEIC | Restricted Stock Units | Common Stock (1,250) | — | — | 1,250 | Disposed |
| March 31, 2017 | UEIC | Restricted Stock Units | Common Stock (1,250) | — | — | 1,250 | Disposed |
| Dec. 31, 2016 | UEIC | Restricted Stock Units | Common Stock (1,250) | — | — | 1,250 | Disposed |
| Sept. 30, 2016 | UEIC | Restricted Stock Units | Common Stock (1,250) | — | — | 1,250 | Disposed |
| Sept. 7, 2016 | UEIC | Stock Option (Rt. to Buy) | Common Stock (53) | — | Feb. 11, 2018 | 53 | Disposed |
| Sept. 6, 2016 | UEIC | Stock Option (Rt to Buy) | Common Stock (5,447) | — | Feb. 11, 2018 | 5,447 | Disposed |
| Aug. 29, 2016 | UEIC | Stock Option (Rt to Buy) | Common Stock (4,500) | — | Feb. 11, 2018 | 4,500 | Disposed |
| July 1, 2016 | UEIC | Restricted Stock Units | Common Stock (5,000) | — | — | 5,000 | Acquired |
| June 30, 2016 | UEIC | Restricted Stock Units | Common Stock (1,250) | — | — | 1,250 | Disposed |
| March 31, 2016 | UEIC | Restricted Stock Units | Common Stock (1,250) | — | — | 1,250 | Disposed |
| Feb. 10, 2016 | UEIC | Stock Option (Rt. to Buy) [F1] | Common Stock (25,000) | — | Feb. 10, 2023 | 25,000 | Acquired |
| Dec. 31, 2015 | UEIC | Restricted Stock Units | Common Stock (1,250) | — | — | 1,250 | Disposed |
| Sept. 30, 2015 | UEIC | Restricted Stock Units | Common Stock (1,250) | — | — | 1,250 | Disposed |
| July 9, 2015 | LBTYB | Share Option C (right to buy) | Liberty Global Class C (4,274) | — | June 25, 2022 | 4,274 | Acquired |
| July 9, 2015 | LBTYB | Share Option C (right to buy) | Liberty Global Class C (5,690) | — | June 26, 2021 | 5,690 | Acquired |
| July 9, 2015 | LBTYB | Share Option C (right to buy) | Liberty Global Class C (9,985) | — | June 28, 2020 | 9,985 | Acquired |
| July 9, 2015 | LBTYB | Share Option C (right to buy) | Liberty Global Class C (4,614) | — | June 28, 2020 | 4,614 | Acquired |
| July 9, 2015 | LBTYB | Share Option C (right to buy) | Liberty Global Class C (4,098) | — | June 19, 2022 | 4,098 | Acquired |
| July 9, 2015 | LBTYB | Share Option C (right to buy) | Liberty Global Class C (1,981) | — | June 19, 2022 | 1,981 | Acquired |
| July 9, 2015 | LBTYB | Share Option C (right to buy) | Liberty Global Class C (2,166) | — | June 21, 2021 | 2,166 | Acquired |
| July 9, 2015 | LBTYB | Share Option C (right to buy) | Liberty Global Class C (1,041) | — | June 21, 2021 | 1,041 | Acquired |
| July 9, 2015 | LBTYB | Share Option C (right to buy) | Liberty Global Class C (2,937) | — | June 17, 2020 | 2,937 | Acquired |
| July 9, 2015 | LBTYB | Share Option C (right to buy) | Liberty Global Class C (1,470) | — | June 17, 2020 | 1,470 | Acquired |
| July 9, 2015 | LBTYB | Share Option C (right to buy) | Liberty Global Class C (10,454) | — | June 17, 2019 | 10,454 | Acquired |
| July 9, 2015 | LBTYB | Share Option C (right to buy) | Liberty Global Class C (5,227) | — | June 17, 2019 | 5,227 | Acquired |
| July 9, 2015 | LBTYB | Share Option C (right to buy) | Liberty Global Class C (20,905) | — | June 12, 2018 | 20,905 | Acquired |
| July 9, 2015 | LBTYB | Share Option C (right to buy) | Liberty Global Class C (10,453) | — | June 12, 2018 | 10,453 | Acquired |
| July 9, 2015 | LBTYB | Share Option C (right to buy) | Liberty Global Class C (20,905) | — | June 19, 2017 | 20,905 | Acquired |
| July 9, 2015 | LBTYB | Share Option C (right to buy) | Liberty Global Class C (10,456) | — | June 19, 2017 | 10,456 | Acquired |
| July 9, 2015 | LBTYB | Share Option A (right to buy) | Liberty Global Class A (2,152) | — | June 25, 2022 | 2,152 | Acquired |
| July 9, 2015 | LBTYB | Share Option A (right to buy) | Liberty Global Class A (2,858) | — | June 26, 2021 | 2,858 | Acquired |
| July 9, 2015 | LBTYB | Share Option A (right to buy) | Liberty Global Class A (4,634) | — | June 28, 2020 | 4,634 | Acquired |
| July 9, 2015 | LBTYB | Share Option A (right to buy) | Liberty Global Class A (1,989) | — | June 19, 2022 | 1,989 | Acquired |
| July 9, 2015 | LBTYB | Share Option A (right to buy) | Liberty Global Class A (1,045) | — | June 21, 2021 | 1,045 | Acquired |
| July 9, 2015 | LBTYB | Share Option A (right to buy) | Liberty Global Class A (1,476) | — | June 17, 2020 | 1,476 | Acquired |
| July 9, 2015 | LBTYB | Share Option A (right to buy) | Liberty Global Class A (5,250) | — | June 17, 2019 | 5,250 | Acquired |
| July 9, 2015 | LBTYB | Share Option A (right to buy) | Liberty Global Class A (10,502) | — | June 12, 2018 | 10,502 | Acquired |
| July 9, 2015 | LBTYB | Share Option A (right to buy) | Liberty Global Class A (10,500) | — | June 19, 2017 | 10,500 | Acquired |
| July 9, 2015 | LBTYB | LiLAC Share Option C (right to buy) | LiLAC Class C (213) | $47.89 | June 25, 2022 | 213 | Acquired |
| July 9, 2015 | LBTYB | LiLAC Share Option C (right to buy) | LiLAC Class C (284) | $37.95 | June 26, 2021 | 284 | Acquired |
| July 9, 2015 | LBTYB | LiLAC Share Option C (right to buy) | LiLAC Class C (499) | $30.72 | June 28, 2020 | 499 | Acquired |
| July 9, 2015 | LBTYB | LiLAC Share Option C (right to buy) | LiLAC Class C (230) | $33.08 | June 28, 2020 | 230 | Acquired |
| July 9, 2015 | LBTYB | LiLAC Share Option C (right to buy) | LiLAC Class C (204) | $21.22 | June 19, 2022 | 204 | Acquired |
| July 9, 2015 | LBTYB | LiLAC Share Option C (right to buy) | LiLAC Class C (99) | $21.84 | June 19, 2022 | 99 | Acquired |
| July 9, 2015 | LBTYB | LiLAC Share Option C (right to buy) | LiLAC Class C (108) | $18.19 | June 21, 2021 | 108 | Acquired |
| July 9, 2015 | LBTYB | LiLAC Share Option C (right to buy) | LiLAC Class C (52) | $18.84 | June 21, 2021 | 52 | Acquired |
| July 9, 2015 | LBTYB | LiLAC Share Option C (right to buy) | LiLAC Class C (146) | $12.13 | June 17, 2020 | 146 | Acquired |
| July 9, 2015 | LBTYB | LiLAC Share Option C (right to buy) | LiLAC Class C (73) | $12.06 | June 17, 2020 | 73 | Acquired |
| July 9, 2015 | LBTYB | LiLAC Share Option C (right to buy) | LiLAC Class C (522) | $6.71 | June 17, 2019 | 522 | Acquired |
| July 9, 2015 | LBTYB | LiLAC Share Option C (right to buy) | LiLAC Class C (261) | $6.72 | June 17, 2019 | 261 | Acquired |
| July 9, 2015 | LBTYB | LiLAC Share Option C (right to buy) | LiLAC Class C (1,045) | $14.21 | June 12, 2018 | 1,045 | Acquired |
| July 9, 2015 | LBTYB | LiLAC Share Option C (right to buy) | LiLAC Class C (522) | $14.86 | June 12, 2018 | 522 | Acquired |
| July 9, 2015 | LBTYB | LiLAC Share Option C (right to buy) | LiLAC Class C (1,045) | $16.98 | June 19, 2017 | 1,045 | Acquired |
| July 9, 2015 | LBTYB | LiLAC Share Option C (right to buy) | LiLAC Class C (522) | $17.88 | June 19, 2017 | 522 | Acquired |
| July 9, 2015 | LBTYB | LiLAC Share Option A (right to buy) | LiLAC Class A (107) | $48.17 | June 25, 2022 | 107 | Acquired |
| July 9, 2015 | LBTYB | LiLAC Share Option A (right to buy) | LiLAC Class A (142) | $37.31 | June 26, 2021 | 142 | Acquired |
| July 9, 2015 | LBTYB | LiLAC Share Option A (right to buy) | LiLAC Class A (231) | $31.65 | June 28, 2020 | 231 | Acquired |
| July 9, 2015 | LBTYB | LiLAC Share Option A (right to buy) | LiLAC Class A (99) | $20.89 | June 19, 2022 | 99 | Acquired |
| July 9, 2015 | LBTYB | LiLAC Share Option A (right to buy) | LiLAC Class A (52) | $18.03 | June 21, 2021 | 52 | Acquired |
| July 9, 2015 | LBTYB | LiLAC Share Option A (right to buy) | LiLAC Class A (73) | $11.52 | June 17, 2020 | 73 | Acquired |
| July 9, 2015 | LBTYB | LiLAC Share Option A (right to buy) | LiLAC Class A (262) | $6.42 | June 17, 2019 | 262 | Acquired |
| July 9, 2015 | LBTYB | LiLAC Share Option A (right to buy) | LiLAC Class A (524) | $14.21 | June 12, 2018 | 524 | Acquired |
| July 9, 2015 | LBTYB | LiLAC Share Option A (right to buy) | LiLAC Class A (525) | $17.10 | June 19, 2017 | 525 | Acquired |
| July 9, 2015 | LBTYB | LiLAC Restricted Share Units C | LiLAC Class C (57) | — | — | 57 | Acquired |
| July 9, 2015 | LBTYB | LiLAC Restricted Share Units A | LiLAC Class A (28) | — | — | 28 | Acquired |
| July 1, 2015 | UEIC | Restricted Stock Units [F3] | Common Stock (5,000) | $0.00 | — | 5,000 | Acquired |
| June 25, 2015 | LBTYB | Restricted Share Units C | Class C Ordinary Shares (1,472) | — | — | 1,472 | Disposed |
| June 25, 2015 | LBTYB | Restricted Share Units A | Class A Ordinary Shares (736) | — | — | 736 | Disposed |
| June 25, 2015 | LBTYB | Restricted Share Units C | Class C Ordinary Shares (1,158) | — | — | 1,158 | Acquired |
| June 25, 2015 | LBTYB | Restricted Share Units A | Class A Ordinary Shares (579) | — | — | 579 | Acquired |
| June 25, 2015 | LBTYB | Stock Option C (right to buy) | Class C Ordinary Shares (4,107) | $52.92 | June 25, 2022 | 4,107 | Acquired |
| June 25, 2015 | LBTYB | Stock Option A (right to buy) | Class A Ordinary Shares (2,054) | $56.21 | June 25, 2022 | 2,054 | Acquired |
| Dec. 12, 2014 | UEIC | Stock Option (Rt to Buy) | Common Stock (2,989) | — | Feb. 11, 2018 | 2,989 | Disposed |
| Dec. 11, 2014 | UEIC | Stock Option (Rt to Buy) | Common Stock (7,011) | — | Feb. 11, 2018 | 7,011 | Disposed |
| June 26, 2014 | LBTYB | Restricted Share Units C | Class C Ordinary Shares (1,472) | — | — | 1,472 | Acquired |
| June 26, 2014 | LBTYB | Restricted Share Units A | Class A Ordinary Shares (736) | — | — | 736 | Acquired |
| June 26, 2014 | LBTYB | Stock Option C (right to buy) | Class C Ordinary Shares (5,442) | $41.94 | June 26, 2021 | 5,442 | Acquired |
| June 26, 2014 | LBTYB | Stock Option A (right to buy) | Class A Ordinary Shares (2,721) | $43.53 | June 26, 2021 | 2,721 | Acquired |
| June 28, 2013 | LBTYB | Stock Option A (right to buy) | Class A Ordinary Shares (4,412) | $73.49 | June 28, 2020 | 4,412 | Acquired |
| June 28, 2013 | LBTYB | Stock Option C (right to buy) | Class C Ordinary Shares (4,775) | $67.89 | June 28, 2020 | 4,775 | Acquired |
| Feb. 11, 2008 | UEIC | Stock Option (Rt to Buy) | Common Stock (20,000) | $21.94 | Feb. 11, 2018 | 20,000 | Acquired |
| Oct. 8, 2007 | UEIC | Stock Option (Rt to Buy) [F1] | Common Stock (6,587) | $18.56 | Feb. 1, 2010 | 6,587 | Disposed |
| Oct. 4, 2007 | UEIC | Stock Option (Rt to Buy) [F1] | Common Stock (1,039) | $16.38 | April 17, 2012 | 1,039 | Disposed |
Showing latest 100 of 109 transactions
Exercise/conversion price is blank when not applicable (e.g. RSUs).
Initial ownership (Form 3) 14 holdings
Securities held when first becoming an insider, per SEC Form 3.
| Date | Ticker | Security | Shares | Ownership |
|---|---|---|---|---|
| June 17, 2013 | LBTYB | Class A Ordinary Shares | 18,330 | Direct |
| June 17, 2013 | LBTYB | Class C Ordinary Shares | 18,376 | Direct |
| June 17, 2013 | LBTYB | Stock Option A (right to buy)→ Class A Ordinary Shares (10,000) | 10,000 | Direct |
| June 17, 2013 | LBTYB | Stock Option A (right to buy)→ Class A Ordinary Shares (10,000) | 10,000 | Direct |
| June 17, 2013 | LBTYB | Stock Option A (right to buy)→ Class A Ordinary Shares (5,000) | 5,000 | Direct |
| June 17, 2013 | LBTYB | Stock Option A (right to buy)→ Class A Ordinary Shares (1,406) | 1,406 | Direct |
| June 17, 2013 | LBTYB | Stock Option A (right to buy)→ Class A Ordinary Shares (996) | 996 | Direct |
| June 17, 2013 | LBTYB | Stock Option A (right to buy)→ Class A Ordinary Shares (1,895) | 1,895 | Direct |
| June 17, 2013 | LBTYB | Stock Option C (right to buy)→ Class C Ordinary Shares (10,000) | 10,000 | Direct |
| June 17, 2013 | LBTYB | Stock Option C (right to buy)→ Class C Ordinary Shares (10,000) | 10,000 | Direct |
| June 17, 2013 | LBTYB | Stock Option C (right to buy)→ Class C Ordinary Shares (5,000) | 5,000 | Direct |
| June 17, 2013 | LBTYB | Stock Option C (right to buy)→ Class C Ordinary Shares (1,405) | 1,405 | Direct |
| June 17, 2013 | LBTYB | Stock Option C (right to buy)→ Class C Ordinary Shares (1,036) | 1,036 | Direct |
| June 17, 2013 | LBTYB | Stock Option C (right to buy)→ Class C Ordinary Shares (1,960) | 1,960 | Direct |