John G Bruno
First SEC filing: Feb. 11, 2021 · Latest: Nov. 15, 2022
Insider at
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 |
|---|---|---|---|---|---|---|---|---|---|
| May 20, 2026 | XRXDW | A | 87,209 | · | · | 707,089 Direct | +14.07% | Acquired | (price as of 2026-10-06) |
| May 1, 2026 | GPN | A | 3,179 | · | · | 21,849 Direct | +17.03% | Acquired | (price as of 2026-10-06) |
| May 23, 2025 | XRXDW | P | 25,000 | $4.38 | $109,500 | 259,775 Direct | +10.65% | Acquired | -94.0% (price as of 2026-10-06) |
| May 21, 2025 | XRXDW | A | 544,268 | · | · | 722,990 Direct | +304.53% | Acquired | (price as of 2026-10-06) |
| April 25, 2025 | GPN | A | 3,173 | · | · | 18,670 Direct | +20.47% | Acquired | (price as of 2026-10-06) |
| March 11, 2025 | XRXDW | F | 17,319 | $6.11 | $105,819 | 234,775 Direct | -6.87% | Disposed | -95.7% (price as of 2026-10-06) |
| March 11, 2025 | XRXDW | M | 71,125 | · | · | 252,094 Direct | +39.30% | Acquired | (price as of 2026-10-06) |
| March 11, 2025 | XRXDW | M | 71,125 | · | · | 178,722 Direct | -28.47% | Disposed | (price as of 2026-10-06) |
| Jan. 18, 2025 | XRXDW | M | 35,379 | · | · | 249,847 Direct | -12.40% | Disposed | (price as of 2026-10-06) |
| Jan. 18, 2025 | XRXDW | F | 9,592 | $9.34 | $89,589 | 180,969 Direct | -5.03% | Disposed | -97.2% (price as of 2026-10-06) |
| Jan. 18, 2025 | XRXDW | M | 35,379 | · | · | 190,561 Direct | +22.80% | Acquired | (price as of 2026-10-06) |
| Nov. 14, 2024 | XRXDW | M | 97,339 | · | · | 193,485 Direct | +101.24% | Acquired | (price as of 2026-10-06) |
| Nov. 14, 2024 | XRXDW | F | 38,303 | $8.39 | $321,362 | 155,182 Direct | -19.80% | Disposed | -96.9% (price as of 2026-10-06) |
| Nov. 14, 2024 | XRXDW | M | 97,339 | · | · | 285,226 Direct | -25.44% | Disposed | (price as of 2026-10-06) |
| April 26, 2024 | GPN | A | 1,846 | · | · | 15,497 Direct | +13.52% | Acquired | (price as of 2026-10-06) |
| March 11, 2024 | XRXDW | A | 213,397 | $16.87 | $3,600,007 | 382,565 Direct | +126.15% | Acquired | -98.5% (price as of 2026-10-06) |
| Nov. 14, 2023 | XRXDW | F | 27,411 | $13.77 | $377,449 | 69,929 Direct | -28.16% | Disposed | -98.1% (price as of 2026-10-06) |
| Nov. 14, 2023 | XRXDW | M | 97,340 | · | · | 204,546 Direct | -32.24% | Disposed | (price as of 2026-10-06) |
| Nov. 14, 2023 | XRXDW | F | 27,411 | $13.77 | $377,449 | 69,929 Direct | +64.47% | Acquired | -98.1% (price as of 2026-10-06) |
| Nov. 14, 2023 | XRXDW | M | 97,340 | · | · | 97,340 Direct | · | Acquired | (price as of 2026-10-06) |
| April 28, 2023 | GPN | A | 1,952 | · | · | 13,651 Direct | +16.69% | Acquired | (price as of 2026-10-06) |
| Jan. 18, 2023 | XRXDW | A | 107,207 | · | · | 301,886 Direct | +55.07% | Acquired | (price as of 2026-10-06) |
| Nov. 14, 2022 | XRXDW | A | 194,679 | · | · | 194,679 Direct | · | Acquired | (price as of 2026-10-06) |
| Nov. 9, 2022 | GPN | S | 4,807 | $97.47 | $468,538 | 11,699 Direct | -29.12% | Disposed | -16.1% (price as of 2026-10-06) |
| April 29, 2022 | GPN | A | 1,606 | $136.98 | $219,990 | 16,506 Direct | +10.78% | Acquired | -40.3% (price as of 2026-10-06) |
| April 30, 2021 | GPN | A | 932 | $214.63 | $200,035 | 14,900 Direct | +6.67% | Acquired | -61.9% (price as of 2026-10-06) |
| Feb. 12, 2021 | AON | M | 619 | · | · | 619 Direct | -50.00% | Disposed | (price as of 2026-10-06) |
| Feb. 12, 2021 | AON | M | 704 | · | · | 0 Direct | -100.00% | Disposed | (price as of 2026-10-06) |
| Feb. 12, 2021 | AON | F | 303 | $228.04 | $69,096 | 75,790 Direct | -0.40% | Disposed | 20.1% (price as of 2026-10-06) |
| Feb. 12, 2021 | AON | M | 619 | · | · | 76,093 Direct | +0.82% | Acquired | (price as of 2026-10-06) |
| Feb. 12, 2021 | AON | F | 344 | $228.04 | $78,446 | 75,474 Direct | -0.45% | Disposed | 20.1% (price as of 2026-10-06) |
| Feb. 12, 2021 | AON | M | 704 | · | · | 75,818 Direct | +0.94% | Acquired | (price as of 2026-10-06) |
| Feb. 11, 2021 | AON | F | 11,577 | $229.31 | $2,654,722 | 75,114 Direct | -13.35% | Disposed | 19.5% (price as of 2026-10-06) |
| Feb. 11, 2021 | AON | A | 23,906 | · | · | 86,691 Direct | +38.08% | Acquired | (price as of 2026-10-06) |
| Nov. 6, 2020 | AON | P | 1,000 | $186.46 | $186,460 | 69,685 Direct | +1.46% | Acquired | 46.9% (price as of 2026-10-06) |
| April 30, 2020 | GPN | A | 1,205 | $166.02 | $200,054 | 13,968 Direct | +9.44% | Acquired | -50.7% (price as of 2026-10-06) |
| Feb. 14, 2020 | AON | M | 619 | · | · | 1,238 Direct | -33.33% | Disposed | (price as of 2026-10-06) |
| Feb. 14, 2020 | AON | M | 704 | · | · | 704 Direct | -50.00% | Disposed | (price as of 2026-10-06) |
| Feb. 14, 2020 | AON | M | 846 | · | · | 0 Direct | -100.00% | Disposed | (price as of 2026-10-06) |
| Feb. 14, 2020 | AON | F | 317 | $235.73 | $74,726 | 68,685 Direct | -0.46% | Disposed | 16.2% (price as of 2026-10-06) |
| Feb. 14, 2020 | AON | M | 619 | · | · | 69,002 Direct | +0.91% | Acquired | (price as of 2026-10-06) |
| Feb. 14, 2020 | AON | F | 361 | $235.73 | $85,099 | 68,383 Direct | -0.53% | Disposed | 16.2% (price as of 2026-10-06) |
| Feb. 14, 2020 | AON | M | 704 | · | · | 68,744 Direct | +1.03% | Acquired | (price as of 2026-10-06) |
| Feb. 14, 2020 | AON | F | 433 | $235.73 | $102,071 | 68,040 Direct | -0.63% | Disposed | 16.2% (price as of 2026-10-06) |
| Feb. 14, 2020 | AON | M | 846 | · | · | 68,473 Direct | +1.25% | Acquired | (price as of 2026-10-06) |
| Feb. 13, 2020 | AON | F | 15,768 | $234.58 | $3,698,857 | 67,627 Direct | -18.91% | Disposed | 16.8% (price as of 2026-10-06) |
| Feb. 13, 2020 | AON | A | 32,072 | · | · | 83,395 Direct | +62.49% | Acquired | (price as of 2026-10-06) |
| Oct. 24, 2019 | GPN | A | 90 | $161.24 | $14,512 | 12,763 Direct | +0.71% | Acquired | -49.3% (price as of 2026-10-06) |
| Sept. 12, 2019 | AON | M | 12,632 | · | · | 0 Direct | -100.00% | Disposed | (price as of 2026-10-06) |
| Sept. 12, 2019 | AON | F | 6,461 | $189.76 | $1,226,039 | 51,323 Direct | -11.18% | Disposed | 44.4% (price as of 2026-10-06) |
| Sept. 12, 2019 | AON | M | 12,632 | · | · | 57,784 Direct | +27.98% | Acquired | (price as of 2026-10-06) |
| Aug. 30, 2019 | AON | S | 1,100 | $194.02 | $213,422 | 45,152 Direct | -2.38% | Disposed | 41.2% (price as of 2026-10-06) |
| Aug. 29, 2019 | AON | S | 6,500 | $192.01 | $1,248,065 | 46,252 Direct | -12.32% | Disposed | 42.7% (price as of 2026-10-06) |
| April 26, 2019 | GPN | A | 1,208 | $144.89 | $175,027 | 12,673 Direct | +10.54% | Acquired | -43.6% (price as of 2026-10-06) |
| Feb. 15, 2019 | AON | M | 704 | · | · | 1,408 Direct | -33.33% | Disposed | (price as of 2026-10-06) |
| Feb. 15, 2019 | AON | M | 846 | · | · | 846 Direct | -50.00% | Disposed | (price as of 2026-10-06) |
| Feb. 15, 2019 | AON | M | 1,049 | · | · | 0 Direct | -100.00% | Disposed | (price as of 2026-10-06) |
| Feb. 15, 2019 | AON | F | 361 | $171.97 | $62,081 | 52,752 Direct | -0.68% | Disposed | 59.3% (price as of 2026-10-06) |
| Feb. 15, 2019 | AON | M | 704 | · | · | 53,113 Direct | +1.34% | Acquired | (price as of 2026-10-06) |
| Feb. 15, 2019 | AON | F | 433 | $171.97 | $74,463 | 52,409 Direct | -0.82% | Disposed | 59.3% (price as of 2026-10-06) |
| Feb. 15, 2019 | AON | M | 846 | · | · | 52,842 Direct | +1.63% | Acquired | (price as of 2026-10-06) |
| Feb. 15, 2019 | AON | F | 537 | $171.97 | $92,348 | 51,996 Direct | -1.02% | Disposed | 59.3% (price as of 2026-10-06) |
| Feb. 15, 2019 | AON | M | 1,049 | · | · | 52,533 Direct | +2.04% | Acquired | (price as of 2026-10-06) |
| Feb. 14, 2019 | AON | A | 1,857 | · | · | 1,857 Direct | · | Acquired | (price as of 2026-10-06) |
| Feb. 14, 2019 | AON | F | 15,327 | $169.62 | $2,599,766 | 51,484 Direct | -22.94% | Disposed | 61.5% (price as of 2026-10-06) |
| Feb. 14, 2019 | AON | A | 31,685 | · | · | 66,811 Direct | +90.20% | Acquired | (price as of 2026-10-06) |
| Sept. 14, 2018 | AON | M | 12,632 | · | · | 12,632 Direct | -50.00% | Disposed | (price as of 2026-10-06) |
| Sept. 14, 2018 | AON | F | 6,222 | $151.08 | $940,020 | 35,126 Direct | -15.05% | Disposed | 81.4% (price as of 2026-10-06) |
| Sept. 14, 2018 | AON | M | 12,632 | · | · | 41,348 Direct | +43.99% | Acquired | (price as of 2026-10-06) |
| April 30, 2018 | GPN | A | 1,372 | $113.05 | $155,105 | 11,464 Direct | +13.59% | Acquired | -27.7% (price as of 2026-10-06) |
| Feb. 16, 2018 | AON | M | 845 | · | · | 1,692 Direct | -33.31% | Disposed | (price as of 2026-10-06) |
| Feb. 16, 2018 | AON | M | 1,049 | · | · | 1,049 Direct | -50.00% | Disposed | (price as of 2026-10-06) |
| Feb. 16, 2018 | AON | M | 873 | · | · | 0 Direct | -100.00% | Disposed | (price as of 2026-10-06) |
| Feb. 16, 2018 | AON | F | 417 | $140.86 | $58,739 | 28,716 Direct | -1.43% | Disposed | 94.5% (price as of 2026-10-06) |
| Feb. 16, 2018 | AON | M | 845 | · | · | 29,133 Direct | +2.99% | Acquired | (price as of 2026-10-06) |
| Feb. 16, 2018 | AON | F | 517 | $140.86 | $72,825 | 28,288 Direct | -1.79% | Disposed | 94.5% (price as of 2026-10-06) |
| Feb. 16, 2018 | AON | M | 1,049 | · | · | 28,805 Direct | +3.78% | Acquired | (price as of 2026-10-06) |
| Feb. 16, 2018 | AON | F | 430 | $140.86 | $60,570 | 27,756 Direct | -1.53% | Disposed | 94.5% (price as of 2026-10-06) |
| Feb. 16, 2018 | AON | M | 873 | · | · | 28,186 Direct | +3.20% | Acquired | (price as of 2026-10-06) |
| Feb. 15, 2018 | AON | A | 2,112 | · | · | 2,112 Direct | · | Acquired | (price as of 2026-10-06) |
| Feb. 15, 2018 | AON | F | 14,188 | $140.89 | $1,998,947 | 27,313 Direct | -34.19% | Disposed | 94.5% (price as of 2026-10-06) |
| Feb. 15, 2018 | AON | A | 30,963 | · | · | 41,501 Direct | +293.82% | Acquired | (price as of 2026-10-06) |
| Nov. 9, 2017 | AON | S | 10,000 | $143.24 | $1,432,400 | 10,471 Direct | -48.85% | Disposed | 91.3% (price as of 2026-10-06) |
| Sept. 12, 2017 | AON | M | 12,632 | · | · | 25,264 Direct | -33.33% | Disposed | (price as of 2026-10-06) |
| Sept. 12, 2017 | AON | F | 6,323 | $142.89 | $903,493 | 20,471 Direct | -23.60% | Disposed | 91.7% (price as of 2026-10-06) |
| Sept. 12, 2017 | AON | M | 12,632 | · | · | 26,794 Direct | +89.20% | Acquired | (price as of 2026-10-06) |
| May 4, 2017 | GPN | A | 1,800 | $86.14 | $155,052 | 10,087 Direct | +21.72% | Acquired | -5.0% (price as of 2026-10-06) |
| Feb. 17, 2017 | AON | M | 1,048 | · | · | 2,098 Direct | -33.31% | Disposed | (price as of 2026-10-06) |
| Feb. 17, 2017 | AON | M | 873 | · | · | 873 Direct | -50.00% | Disposed | (price as of 2026-10-06) |
| Feb. 17, 2017 | AON | F | 401 | $117.53 | $47,130 | 14,083 Direct | -2.77% | Disposed | 133.1% (price as of 2026-10-06) |
| Feb. 17, 2017 | AON | M | 1,048 | · | · | 14,484 Direct | +7.80% | Acquired | (price as of 2026-10-06) |
| Feb. 17, 2017 | AON | F | 326 | $117.53 | $38,315 | 13,436 Direct | -2.37% | Disposed | 133.1% (price as of 2026-10-06) |
| Feb. 17, 2017 | AON | M | 873 | · | · | 13,762 Direct | +6.77% | Acquired | (price as of 2026-10-06) |
| Feb. 16, 2017 | AON | A | 2,537 | · | · | 2,537 Direct | · | Acquired | (price as of 2026-10-06) |
| Sept. 29, 2016 | GPN | A | 1,189 | $76.09 | $90,471 | 8,290 Direct | +16.74% | Acquired | 7.5% (price as of 2026-10-06) |
| Nov. 19, 2015 | GPN | A | 2,035 | $71.27 | $145,034 | 7,097 Direct | +40.20% | Acquired | 14.8% (price as of 2026-10-06) |
| Nov. 20, 2014 | GPN | A | 1,676 | $83.55 | $140,030 | 2,527 Direct | +196.94% | Acquired | 95.8% (price as of 2026-10-06) |
| June 2, 2014 | GPN | A | 851 | $68.56 | $58,345 | 851 Direct | · | Acquired | 138.6% (price as of 2026-10-06) |
| Feb. 24, 2014 | VYX | A | 44,354 | · | · | 44,354 Direct | · | Acquired | (price as of 2026-10-06) |
| Feb. 24, 2014 | VYX | A | 12,717 | · | · | 53,735 Direct | +31.00% | Acquired | (price as of 2026-10-06) |
Showing latest 100 of 173 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 |
|---|---|---|---|---|---|---|---|
| Feb. 12, 2021 | AON | Restrictive Share Unit (Right to Receive) | Class A Ordinary Shares | · | Feb. 14, 2022 | 619 | Disposed |
| Feb. 12, 2021 | AON | Restricted Share Unit (Right to Receive) | Class A Ordinary Shares | · | Feb. 15, 2021 | 704 | Disposed |
| Feb. 14, 2020 | AON | Restrictive Share Unit (Right to Receive) | Class A Ordinary Shares | · | Feb. 14, 2022 | 619 | Disposed |
| Feb. 14, 2020 | AON | Restricted Share Unit (Right to Receive) | Class A Ordinary Shares | · | Feb. 15, 2021 | 704 | Disposed |
| Feb. 14, 2020 | AON | Restricted Share Unit (Right to Receive) | Class A Ordinary Shares | · | Feb. 16, 2020 | 846 | Disposed |
| Sept. 12, 2019 | AON | Restricted Share Unit (Right to Receive) | Class A Ordinary Shares | · | Sept. 12, 2019 | 12,632 | Disposed |
| Feb. 15, 2019 | AON | Restricted Share Unit (Right to Receive) | Class A Ordinary Shares | · | Feb. 15, 2021 | 704 | Disposed |
| Feb. 15, 2019 | AON | Restricted Share Unit (Right to Receive) | Class A Ordinary Shares | · | Feb. 16, 2020 | 846 | Disposed |
| Feb. 15, 2019 | AON | Restricted Share Unit (Right to Receive) | Class A Ordinary Shares | · | Feb. 18, 2019 | 1,049 | Disposed |
| Feb. 14, 2019 | AON | Restrictive Share Unit (Right to Receive) | Class A Ordinary Shares | · | Feb. 14, 2022 | 1,857 | Acquired |
| Sept. 14, 2018 | AON | Restricted Share Unit (Right to Receive) | Class A Ordinary Shares | · | Sept. 12, 2019 | 12,632 | Disposed |
| Feb. 16, 2018 | AON | Restricted Share Unit (Right to Receive) | Class A Ordinary Shares | · | Feb. 16, 2020 | 845 | Disposed |
| Feb. 16, 2018 | AON | Restricted Share Unit (Right to Receive) | Class A Ordinary Shares | · | Feb. 18, 2019 | 1,049 | Disposed |
| Feb. 16, 2018 | AON | Restricted Share Unit (Right to Receive) | Class A Ordinary Shares | · | Feb. 19, 2018 | 873 | Disposed |
| Feb. 15, 2018 | AON | Restriction Share Unit (Right to Receive) | Class A Ordinary Shares | · | Feb. 15, 2021 | 2,112 | Acquired |
| Sept. 12, 2017 | AON | Restricted Unit Share | Class A Ordinary Sahres | · | Sept. 12, 2019 | 12,632 | Disposed |
| Feb. 17, 2017 | AON | Restricted Share Unit (Right to Receive) | Class A Ordinary Shares | · | Feb. 18, 2019 | 1,048 | Disposed |
| Feb. 17, 2017 | AON | Restricted Shares Unit (Right to Receive) | Class A Ordinary Shares | · | Feb. 19, 2018 | 873 | Disposed |
| Feb. 16, 2017 | AON | Restricted Share Unit (Right to Receive) | Class A Ordinary Shares | · | Feb. 16, 2020 | 2,537 | Acquired |
| Feb. 24, 2014 | VYX | Restricted Stock Units | Common Stock | · | · | 44,354 | Acquired |
| May 3, 2013 | VYX | Employee Stock Option (Right to Buy) | Common Stock | $13.67 | Nov. 30, 2018 | 87,633 | Disposed |
| May 3, 2013 | VYX | Employee Stock Option (Right to Buy) | Common Stock | $12.81 | Feb. 22, 2020 | 15,577 | Disposed |
| May 2, 2013 | VYX | Employee Stock Option (Right to Buy) | Common Stock | $12.81 | Feb. 22, 2020 | 600 | Disposed |
| Feb. 25, 2013 | VYX | Restricted Stock Units | Common Stock | · | · | 105,236 | Acquired |
| Dec. 31, 2012 | VYX | Restricted Stock Units | Common Stock | · | · | 124,394 | Disposed |
| Aug. 1, 2012 | VYX | Restricted Stock Units | Common Stock | · | · | 49,379 | Disposed |
| July 16, 2012 | VYX | Employee Stock Option (Right to Buy) | Common Stock | $12.81 | Feb. 22, 2020 | 16,177 | Disposed |
| July 16, 2012 | VYX | Employee Stock Option (Right to Buy) | Common Stock | $13.67 | Nov. 30, 2018 | 87,633 | Disposed |
| Feb. 17, 2012 | VYX | Restricted Stock Units | Common Stock | · | · | 124,394 | Acquired |
| May 27, 2011 | VYX | Employee Stock Option (Right to Buy) | Common Stock | $13.67 | Dec. 1, 2018 | 11,624 | Disposed |
| May 26, 2011 | VYX | Employee Stock Option (Right to Buy) | Common Stock | $13.67 | Dec. 1, 2018 | 25,000 | Disposed |
| May 24, 2011 | VYX | Employee Stock Option (Right to Buy) | Common Stock | $13.67 | Dec. 1, 2018 | 7,542 | Disposed |
| May 23, 2011 | VYX | Employee Stock Option (Right to Buy) | Common Stock | $13.67 | Dec. 1, 2018 | 25,000 | Disposed |
| May 20, 2011 | VYX | Employee Stock Option (Right to Buy) | Common Stock | $13.67 | Dec. 1, 2018 | 25,000 | Disposed |
| May 19, 2011 | VYX | Employee Stock Option (Right to Buy) | Common Stock | $13.67 | Dec. 1, 2018 | 25,000 | Disposed |
| May 18, 2011 | VYX | Employee Stock Option (Right to Buy) | Common Stock | $13.67 | Dec. 1, 2018 | 25,000 | Disposed |
| May 17, 2011 | VYX | Employee Stock Option (Right to Buy) | Common Stock | $13.67 | Dec. 1, 2018 | 6,100 | Disposed |
| May 16, 2011 | VYX | Employee Stock Option (Right to Buy) | Common Stock | $13.67 | Dec. 1, 2018 | 25,000 | Disposed |
| May 16, 2011 | VYX | Employee Stock Option (Right to Buy) | Common Stock | $12.81 | Feb. 23, 2020 | 16,176 | Disposed |
| Feb. 18, 2011 | VYX | Restricted Stock Units | Common Stock | · | · | 49,379 | Acquired |
| Feb. 23, 2010 | VYX | Employee Stock Options | Common Stock | $12.81 | Feb. 23, 2020 | 64,707 | Acquired |
| Feb. 23, 2010 | VYX | Employee Stock Options | Common Stock | $12.81 | Feb. 23, 2010 | 64,562 | Acquired |
| Dec. 1, 2008 | VYX | Employee Stock Option (Right to Buy) | Common Stock | $13.67 | Dec. 1, 2018 | 350,532 | Acquired |
Exercise/conversion price is blank when not applicable (e.g. RSUs).
Initial ownership (Form 3) 7 holdings
Securities held when first becoming an insider, per SEC Form 3.
| Date | Ticker | Security | Shares | Ownership |
|---|---|---|---|---|
| Nov. 15, 2022 | XRXDW | Restricted Stock Units | 0 | Direct |
| Nov. 15, 2022 | XRXDW | Common Stock | 0 | Direct |
| Feb. 13, 2017 | AON | Class A Ordinary Shares | 12,889 | Direct |
| Feb. 13, 2017 | AON | Restricted Share Unit (Right to Receive) | 1,746 | Direct |
| Feb. 13, 2017 | AON | Restricted Share Unit (Right to Receive) | 3,146 | Direct |
| Feb. 13, 2017 | AON | Restricted Share Unit (Right to Receive) | 37,896 | Direct |
| Dec. 3, 2008 | VYX | Common Stock | 0 | Direct |
Compensation (DEF 14A)
Matched by name from proxy statements (DEF 14A) — verify against the filing.
| Fiscal year | Salary | Bonus | Stock awards | Option awards | Non-equity incentive | Pension change | Other | Total |
|---|---|---|---|---|---|---|---|---|
| 2014 | $466,385 | · | $1,700,008 | · | · | · | $17,792 | $2,184,185 |
| 2013 | $603,846 | · | $650,007 | · | $1,007,851 | · | $23,720 | $2,285,425 |
| 2012 | $750,000 | · | $1,000,003 | · | $1,034,233 | · | $23,620 | $2,807,856 |
| Fiscal year | Salary | Bonus | Stock awards | Option awards | Non-equity incentive | Pension change | Other | Total |
|---|---|---|---|---|---|---|---|---|
| 2020 | $950,000 | · | · | · | · | · | $30,631 | $4,515,464 |
| 2019 | $925,000 | · | · | · | $0 | · | $38,086 | $3,704,618 |
Figures from the Summary Compensation Table of the company's proxy statement (DEF 14A). Compensation is not a recommendation.