Joseph M Velli

CIK 1209494 · View on SEC EDGAR ↗

Insider

First SEC filing: June 4, 2026 · Latest: June 4, 2026

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Insider at

Insider transactions

0 buys (P) 0 sells (S) Net: $0 + 90 non-open-market transactions below 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

90 other filings hidden
Date Ticker Code Shares Price Value Owned after Δ own A/D vs now
April 15, 2025 PAYX S 3,650 $149.25 $544,762 78,455 Direct -4.45% Disposed -17.2% (price as of 2026-08-20)
May 17, 2024 PAYX S 10,850 $124.28 $1,348,438 69,855 Direct -13.44% Disposed -0.6% (price as of 2026-08-20)
May 23, 2023 PAYX S 4,336 $109.12 $473,144 69,090 Direct -5.91% Disposed 13.2% (price as of 2026-08-20)
July 5, 2022 PAYX S 4,184 $113.34 $474,215 60,531 Direct -6.47% Disposed 9.0% (price as of 2026-08-20)
April 15, 2021 PAYX S 3,753 $96.93 $363,778 48,866 Direct -7.13% Disposed 27.5% (price as of 2026-08-20)
April 8, 2019 PAYX S 1,883 $80.59 $151,751 31,408 Direct -5.66% Disposed 53.3% (price as of 2026-08-20)
April 8, 2019 PAYX S 6,250 $80.59 $503,688 27,041 Direct -18.77% Disposed 53.3% (price as of 2026-08-20)
May 18, 2018 PAYX S 3,079 $65.00 $200,135 25,934 Direct -10.61% Disposed 90.1% (price as of 2026-08-20)
March 14, 2018 CTSH P 2,500 $84.10 $210,250 2,500 Direct Acquired -27.2% (price as of 2026-08-20)
April 20, 2017 PAYX S 9,000 $58.29 $524,610 21,624 Direct -29.39% Disposed 111.9% (price as of 2026-08-20)

Showing latest 100 of 116 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
June 3, 2026 CTSH Restricted Stock Units Class A Common Stock (1) 1 Disposed
June 3, 2026 CTSH Restricted Stock Units Class A Common Stock (2,919) 2,919 Disposed
June 2, 2026 CTSH Restricted Stock Units Class A Common Stock (4,171) 4,171 Acquired
May 27, 2026 CTSH Restricted Stock Units Class A Common Stock (18) 18 Acquired
May 8, 2026 PAYX Stock Option Common Stock (10,220) $60.59 July 6, 2026 10,220 Disposed
Feb. 26, 2026 CTSH Restricted Stock Units Class A Common Stock (15) 15 Acquired
Nov. 26, 2025 CTSH Restricted Stock Units Class A Common Stock (12) 12 Acquired
Oct. 15, 2025 PAYX Stock Option Common Stock (3,061) $127.52 Oct. 14, 2035 3,061 Acquired
Aug. 26, 2025 CTSH Restricted Stock Units Class A Common Stock (12) 12 Acquired
July 15, 2025 PAYX Stock Option Common Stock (670) $140.68 July 14, 2035 670 Acquired
June 4, 2025 CTSH Restricted Stock Units Class A Common Stock (0) 0 Disposed
June 4, 2025 CTSH Restricted Stock Units Class A Common Stock (3,417) 3,417 Disposed
June 3, 2025 CTSH Restricted Stock Units Class A Common Stock (2,863) 2,863 Acquired
May 28, 2025 CTSH Restricted Stock Units Class A Common Stock (13) 13 Acquired
April 15, 2025 PAYX Stock Option Common Stock (11,489) $47.43 July 8, 2025 11,489 Disposed
Feb. 26, 2025 CTSH Restricted Stock Units Class A Common Stock (12) 12 Acquired
Nov. 27, 2024 CTSH Restricted Stock Units Class A Common Stock (13) 13 Acquired
Aug. 28, 2024 CTSH Restricted Stock Units Class A Common Stock (13) 13 Acquired
July 15, 2024 PAYX Stock Option Common Stock (3,351) $121.63 July 14, 2034 3,351 Acquired
June 6, 2024 CTSH Restricted Stock Units Class A Common Stock (0) 0 Disposed
June 6, 2024 CTSH Restricted Stock Units Class A Common Stock (3,582) 3,582 Disposed
June 4, 2024 CTSH Restricted Stock Units Class A Common Stock (3,366) 3,366 Acquired
May 29, 2024 CTSH Restricted Stock Units Class A Common Stock (16) 16 Acquired
May 17, 2024 PAYX Stock Option Common Stock (10,850) $41.70 July 8, 2024 10,850 Disposed
Feb. 28, 2024 CTSH Restricted Stock Units [F1] Class A Common Stock (14) 14 Acquired
Nov. 30, 2023 CTSH Restricted Stock Units [F1] Class A Common Stock (15) 15 Acquired
July 15, 2023 PAYX Stock Option Common Stock (3,382) $120.86 July 14, 2033 3,382 Acquired
June 7, 2023 CTSH Restricted Stock Units Class A Common Stock (2,834) 2,834 Disposed
June 6, 2023 CTSH Restricted Stock Units Class A Common Stock (3,538) 3,538 Acquired
May 23, 2023 PAYX Stock Option Common Stock (12,156) $38.89 July 10, 2023 12,156 Disposed
July 15, 2022 PAYX Stock Option Common Stock (3,027) $115.00 July 14, 2032 3,027 Acquired
July 5, 2022 PAYX Stock Option Common Stock (15,052) $31.50 July 11, 2022 15,052 Disposed
June 7, 2022 CTSH Restricted Stock Units Class A Common Stock (2,834) 2,834 Acquired
June 1, 2022 CTSH Restricted Stock Units Class A Common Stock (2,949) 2,949 Disposed
July 15, 2021 PAYX Stock Option Common Stock (5,075) $112.67 July 14, 2031 5,075 Acquired
June 2, 2021 CTSH Restricted Stock Units Class A Common Stock (3,939) 3,939 Disposed
June 1, 2021 CTSH Restricted Stock Units Class A Common Stock (2,949) 2,949 Acquired
April 15, 2021 PAYX Stock Option Common Stock (11,468) $31.63 July 6, 2021 11,468 Disposed
July 15, 2020 PAYX Stock Option Common Stock (5,793) $73.53 July 14, 2030 5,793 Acquired
June 4, 2020 CTSH Restricted Stock Units Class A Common Stock (3,436) 3,436 Disposed
June 2, 2020 CTSH Restricted Stock Units Class A Common Stock (3,939) 3,939 Acquired
April 2, 2020 PAYX Stock Option Common Stock (7,686) $26.02 July 6, 2020 7,686 Disposed
July 11, 2019 PAYX Stock Option Common Stock (7,929) $85.33 July 10, 2029 7,929 Acquired
June 5, 2019 CTSH Restricted Stock Units Class A Common Stock (2,726) 2,726 Disposed
June 4, 2019 CTSH Restricted Stock Units Class A Common Stock (3,436) 3,436 Acquired
April 8, 2019 PAYX Stock Option Common Stock (6,250) $24.21 July 8, 2019 6,250 Disposed
April 8, 2019 PAYX Stock Option Common Stock (6,250) $24.21 July 8, 2019 6,250 Disposed
Dec. 12, 2018 CTSH Restricted Stock Units Class A Common Stock (1,417) Dec. 12, 2018 1,417 Disposed
July 12, 2018 PAYX Stock Option Common Stock (8,641) $70.37 July 11, 2028 8,641 Acquired
June 5, 2018 CTSH Restricted Stock Units Class A Common Stock (2,726) 2,726 Acquired
May 18, 2018 PAYX Stock Option Common Stock (6,250) $31.95 July 9, 2018 6,250 Disposed
Dec. 12, 2017 CTSH Restricted Stock Units Class A Common Stock (1,417) 1,417 Acquired
July 13, 2017 PAYX Stock Option Common Stock (9,615) $57.20 July 12, 2027 9,615 Acquired
April 20, 2017 PAYX Stock Option Common Stock (9,000) $43.91 July 17, 2017 9,000 Disposed
July 7, 2016 PAYX Stock Option Common Stock (10,220) $60.59 July 6, 2026 10,220 Acquired
July 9, 2015 PAYX Stock Option Common Stock (11,489) $47.43 July 8, 2025 11,489 Acquired
July 9, 2014 PAYX Stock Option Common Stock (10,850) $41.70 July 8, 2024 10,850 Acquired
July 11, 2013 PAYX Stock Option Common Stock (12,156) $38.89 July 10, 2023 12,156 Acquired
July 12, 2012 PAYX Stock Option Common Stock (15,052) $31.50 July 11, 2022 15,052 Acquired
July 7, 2011 PAYX Stock Option Common Stock (11,468) $31.63 July 6, 2021 11,468 Acquired
July 7, 2010 PAYX Stock Option Common Stock (7,686) $26.02 July 6, 2020 7,686 Acquired
July 9, 2009 PAYX Stock Option Common Stock (6,250) $24.21 July 8, 2019 6,250 Acquired
July 10, 2008 PAYX Stock Option Common Stock (6,250) $31.95 July 9, 2018 6,250 Acquired
July 17, 2007 PAYX Stock Option Common Stock (9,000) $43.90 July 17, 2017 9,000 Acquired

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