Jose E. Cil

CIK 1552282 · View on SEC EDGAR ↗

Insider

First SEC filing: May 19, 2026 · Latest: May 19, 2026

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Insider at

Insider transactions

2 buys (P) 0 sells (S) Net: $225,350 + 94 non-open-market transactions below Avg return of open purchases vs now: 17.7% 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

94 other filings hidden
Date Ticker Code Shares Price Value Owned after Δ own A/D vs now
May 19, 2026 NCLH P 10,000 $14.91 $149,100 74,295 Indirect +15.55% Acquired 19.1% (price as of 2026-08-19)
May 18, 2026 NCLH P 5,000 $15.25 $76,250 64,295 Indirect +8.43% Acquired 16.4% (price as of 2026-08-19)
May 22, 2024 NCLH P 20,000 $16.38 $327,600 40,000 Indirect +100.00% Acquired 8.4% (price as of 2026-08-19)
Feb. 23, 2023 QSR S 264,461 $65.64 $17,359,220 187,414 Direct -58.53% Disposed 19.4% (price as of 2026-08-19)
Jan. 4, 2023 QSR S 21,998 $65.04 $1,430,750 177,293 Direct -11.04% Disposed 20.5% (price as of 2026-08-19)
Jan. 5, 2022 QSR S 17,255 $58.62 $1,011,488 236,899 Direct -6.79% Disposed 33.7% (price as of 2026-08-19)

Showing latest 100 of 323 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. 23, 2023 QSR Performance Share Units Common Shares (264,461) Feb. 23, 2023 264,461 Disposed
Feb. 22, 2023 QSR Restricted Share Units Common Shares (37,954) 37,954 Acquired
Jan. 4, 2023 QSR Performance Share Units Common Shares (1,277) Feb. 25, 2025 1,277 Acquired
Jan. 4, 2023 QSR Restricted Share Units Common Shares (294) 294 Acquired
Jan. 4, 2023 QSR Performance Share Units Common Shares (896) Feb. 19, 2024 896 Acquired
Jan. 4, 2023 QSR Restricted Share Units Common Shares (124) 124 Acquired
Jan. 4, 2023 QSR Restricted Share Units Common Shares (147) 147 Acquired
Jan. 4, 2023 QSR Performance Share Units Common Shares (2,324) Feb. 21, 2025 2,324 Acquired
Jan. 4, 2023 QSR Restricted Share Units Common Shares (160) 160 Acquired
Jan. 4, 2023 QSR Performance Share Units Common Shares (2,633) Feb. 22, 2024 2,633 Acquired
Jan. 4, 2023 QSR Restricted Share Units Common Shares (138) 138 Acquired
Jan. 4, 2023 QSR Performance Share Units Common Shares (2,196) Feb. 23, 2023 2,196 Acquired
Dec. 31, 2022 QSR Restricted Share Units Common Shares (11,688) 11,688 Disposed
Dec. 31, 2022 QSR Restricted Share Units Common Shares (7,419) 7,419 Disposed
Dec. 31, 2022 QSR Restricted Share Units Common Shares (17,573) 17,573 Disposed
Dec. 31, 2022 QSR Restricted Share Units Common Shares (18,761) 18,761 Disposed
Oct. 5, 2022 QSR Performance Share Units Common Shares (1,470) Feb. 25, 2025 1,470 Acquired
Oct. 5, 2022 QSR Restricted Share Units Common Shares (451) 451 Acquired
Oct. 5, 2022 QSR Performance Share Units Common Shares (1,032) Feb. 19, 2024 1,032 Acquired
Oct. 5, 2022 QSR Restricted Share Units Common Shares (215) 215 Acquired
Oct. 5, 2022 QSR Restricted Share Units Common Shares (339) 339 Acquired
Oct. 5, 2022 QSR Performance Share Units Common Shares (2,676) Feb. 21, 2025 2,676 Acquired
Oct. 5, 2022 QSR Restricted Share Units Common Shares (184) 184 Acquired
Oct. 5, 2022 QSR Performance Share Units Common Shares (3,032) Feb. 22, 2024 3,032 Acquired
Oct. 5, 2022 QSR Restricted Share Units Common Shares (158) 158 Acquired
Oct. 5, 2022 QSR Performance Share Units Common Shares (2,528) Feb. 23, 2023 2,528 Acquired
Oct. 5, 2022 QSR Restricted Share Units Common Shares (181) 181 Acquired
April 20, 2022 QSR Performance Share Units Common Shares (149,452) Feb. 25, 2025 149,452 Acquired
April 6, 2022 QSR Restricted Share Units Common Shares (417) 417 Acquired
April 6, 2022 QSR Performance Share Units Common Shares (955) Feb. 19, 2024 955 Acquired
April 6, 2022 QSR Restricted Share Units Common Shares (199) 199 Acquired
April 6, 2022 QSR Restricted Share Units Common Shares (314) 314 Acquired
April 6, 2022 QSR Performance Share Units Common Shares (2,478) Feb. 21, 2025 2,478 Acquired
April 6, 2022 QSR Restricted Share Units Common Shares (170) 170 Acquired
April 6, 2022 QSR Performance Share Units Common Shares (2,808) Feb. 22, 2024 2,808 Acquired
April 6, 2022 QSR Restricted Share Units Common Shares (147) 147 Acquired
April 6, 2022 QSR Performance Share Units Common Shares (2,341) Feb. 23, 2023 2,341 Acquired
April 6, 2022 QSR Restricted Share Units Common Shares (167) 167 Acquired
Feb. 25, 2022 QSR Restricted Share Units Common Shares (45,404) 45,404 Acquired
Jan. 5, 2022 QSR Performance Share Units Common Shares (929) Feb. 19, 2024 929 Acquired
Jan. 5, 2022 QSR Restricted Share Units Common Shares (193) 193 Acquired
Jan. 5, 2022 QSR Restricted Share Units Common Shares (305) 305 Acquired
Jan. 5, 2022 QSR Performance Share Units Common Shares (2,411) Feb. 21, 2025 2,411 Acquired
Jan. 5, 2022 QSR Restricted Share Units Common Shares (166) 166 Acquired
Jan. 5, 2022 QSR Performance Share Units Common Shares (2,731) Feb. 22, 2024 2,731 Acquired
Jan. 5, 2022 QSR Restricted Share Units Common Shares (143) 143 Acquired
Jan. 5, 2022 QSR Performance Share Units Common Shares (2,277) Feb. 23, 2023 2,277 Acquired
Jan. 5, 2022 QSR Restricted Share Units Common Shares (163) 163 Acquired
Dec. 31, 2021 QSR Restricted Share Units Common Shares (7,141) 7,141 Disposed
Dec. 31, 2021 QSR Restricted Share Units Common Shares (16,914) 16,914 Disposed
Dec. 31, 2021 QSR Restricted Share Units Common Shares (19,210) 19,210 Disposed
Oct. 5, 2021 QSR Performance Share Units Common Shares (874) Feb. 19, 2024 874 Acquired
Oct. 5, 2021 QSR Restricted Share Units Common Shares (242) 242 Acquired
Oct. 5, 2021 QSR Restricted Share Units Common Shares (430) 430 Acquired
Oct. 5, 2021 QSR Performance Share Units Common Shares (2,267) Feb. 21, 2025 2,267 Acquired
Oct. 5, 2021 QSR Restricted Share Units Common Shares (156) 156 Acquired
Oct. 5, 2021 QSR Performance Share Units Common Shares (2,568) Feb. 22, 2024 2,568 Acquired
Oct. 5, 2021 QSR Restricted Share Units Common Shares (134) 134 Acquired
Oct. 5, 2021 QSR Performance Share Units Common Shares (2,141) Feb. 23, 2023 2,141 Acquired
Oct. 5, 2021 QSR Restricted Share Units Common Shares (153) 153 Acquired
Oct. 5, 2021 QSR Restricted Share Units Common Shares (163) 163 Acquired
July 7, 2021 QSR Performance Share Units Common Shares (834) Feb. 19, 2024 834 Acquired
July 7, 2021 QSR Restricted Share Units Common Shares (231) 231 Acquired
July 7, 2021 QSR Restricted Share Units Common Shares (411) 411 Acquired
July 7, 2021 QSR Performance Share Units Common Shares (2,163) Feb. 21, 2025 2,163 Acquired
July 7, 2021 QSR Restricted Share Units Common Shares (149) 149 Acquired
July 7, 2021 QSR Performance Share Units Common Shares (2,450) Feb. 22, 2024 2,450 Acquired
July 7, 2021 QSR Restricted Share Units Common Shares (128) 128 Acquired
July 7, 2021 QSR Performance Share Units Common Shares (2,043) Feb. 23, 2023 2,043 Acquired
July 7, 2021 QSR Restricted Share Units Common Shares (146) 146 Acquired
July 7, 2021 QSR Restricted Share Units Common Shares (155) 155 Acquired
July 6, 2021 QSR Performance Share Units Common Shares (1,561) Feb. 25, 2025 1,561 Acquired
July 6, 2021 QSR Restricted Share Units Common Shares (479) 479 Acquired
July 6, 2021 QSR Performance Share Units Common Shares (1,096) Feb. 19, 2024 1,096 Acquired
July 6, 2021 QSR Restricted Share Units Common Shares (228) 228 Acquired
July 6, 2021 QSR Restricted Share Units Common Shares (360) 360 Acquired
July 6, 2021 QSR Performance Share Units Common Shares (2,842) Feb. 21, 2025 2,842 Acquired
July 6, 2021 QSR Restricted Share Units Common Shares (195) 195 Acquired
July 6, 2021 QSR Performance Share Units Common Shares (3,220) Feb. 22, 2024 3,220 Acquired
July 6, 2021 QSR Restricted Share Units Common Shares (168) 168 Acquired
July 6, 2021 QSR Performance Share Units Common Shares (2,684) Feb. 23, 2023 2,684 Acquired
July 6, 2021 QSR Restricted Share Units Common Shares (192) 192 Acquired
June 2, 2021 QSR Option (right to buy) Common Shares (1,463) $33.67 Feb. 25, 2026 1,463 Disposed
June 1, 2021 QSR Option (right to buy) Common Shares (5,300) $33.67 Feb. 25, 2026 5,300 Disposed
April 6, 2021 QSR Performance Share Units Common Shares (813) Feb. 19, 2024 813 Acquired
April 6, 2021 QSR Restricted Share Units Common Shares (226) 226 Acquired
April 6, 2021 QSR Restricted Share Units Common Shares (401) 401 Acquired
April 6, 2021 QSR Performance Share Units Common Shares (2,110) Feb. 21, 2025 2,110 Acquired
April 6, 2021 QSR Restricted Share Units Common Shares (145) 145 Acquired
April 6, 2021 QSR Performance Share Units Common Shares (2,391) Feb. 22, 2024 2,391 Acquired
April 6, 2021 QSR Restricted Share Units Common Shares (125) 125 Acquired
April 6, 2021 QSR Performance Share Units Common Shares (1,993) Feb. 23, 2023 1,993 Acquired
April 6, 2021 QSR Restricted Share Units Common Shares (143) 143 Acquired
April 6, 2021 QSR Restricted Share Units Common Shares (152) 152 Acquired
Feb. 19, 2021 QSR Performance Share Units Common Shares (100,500) Feb. 19, 2024 100,500 Acquired
Feb. 19, 2021 QSR Restricted Share Units Common Shares (27,864) 27,864 Acquired
Feb. 19, 2021 QSR Restricted Share Units Common Shares (49,500) 49,500 Acquired
Jan. 5, 2021 QSR Dividend Equivalent Rights Common Shares (2,263) 2,263 Acquired
Jan. 5, 2021 QSR Dividend Equivalent Rights Common Shares (155) 155 Acquired
Jan. 5, 2021 QSR Dividend Equivalent Rights Common Shares (2,564) 2,564 Acquired

Showing latest 100 of 227 transactions

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

Compensation (DEF 14A)

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

QSR

Fiscal year Salary Bonus Stock awards Option awards Non-equity incentive Pension change Other Total
2023 $331,667 $2,571,384 $16,685 $2,919,736
2019 $776,923 $18,736,254 $1,139,221 $59,342 $20,711,741
2016 $600,000 $1,199,999 $927,372 $305,600 $3,952,971

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