Insider at

04

Insider transactions

05
48 buys (P) 5 sells (S) Net: $56,097,757 + 56 non-open-market transactions below Avg return of open purchases vs now: 57.8% 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

56 other filings hidden
DateTickerCodeSharesPriceValue Owned afterΔ ownA/Dvs now
Sept. 30, 2026 LILAP P 1,013 $20.43 $20,696 1,412,175 Indirect +0.07% Acquired -0.3% (price as of 2026-10-02)
Sept. 30, 2026 LILAP P 20,000 $8.40 $168,000 326,571 Indirect +6.52% Acquired 142.4% (price as of 2026-10-02)
Sept. 29, 2026 LILAP P 512 $20.45 $10,470 1,411,162 Indirect +0.04% Acquired -0.4% (price as of 2026-10-02)
Sept. 28, 2026 LILAP P 7,945 $20.43 $162,316 1,410,650 Indirect +0.57% Acquired -0.3% (price as of 2026-10-02)
Sept. 25, 2026 LILAP P 13,362 $20.44 $273,119 1,402,705 Indirect +0.96% Acquired -0.4% (price as of 2026-10-02)
Sept. 24, 2026 LLYVA P 28,333 $102.53 $2,904,982 2,298,438 Direct +1.25% Acquired -6.6% (price as of 2026-10-02)
Sept. 24, 2026 LLYVA S 29,593 $98.16 $2,904,849 3,186,342 Direct -0.92% Disposed -2.5% (price as of 2026-10-02)
Sept. 24, 2026 LILAP P 1,135 $20.45 $23,211 1,389,343 Indirect +0.08% Acquired -0.4% (price as of 2026-10-02)
Sept. 17, 2026 LILAP P 168 $20.44 $3,434 1,388,208 Indirect +0.01% Acquired -0.4% (price as of 2026-10-02)
Sept. 16, 2026 LILAP P 36,914 $20.43 $754,153 1,388,040 Indirect +2.73% Acquired -0.3% (price as of 2026-10-02)
Sept. 1, 2026 LILAP P 69,454 $8.50 $590,359 306,571 Indirect +29.29% Acquired 139.5% (price as of 2026-10-02)
Aug. 28, 2026 LILAP P 51,832 $8.48 $439,535 237,117 Indirect +27.97% Acquired 140.1% (price as of 2026-10-02)
Aug. 14, 2026 LILAP P 6,761 $8.50 $57,468 185,285 Indirect +3.79% Acquired 139.5% (price as of 2026-10-02)
Aug. 13, 2026 GLIBA P 1,000 $26.00 $26,000 2,559,752 Direct +0.04% Acquired -10.9% (price as of 2026-10-02)
Aug. 13, 2026 LILAP P 28,219 $8.50 $239,862 178,524 Indirect +18.77% Acquired 139.5% (price as of 2026-10-02)
Aug. 12, 2026 GLIBA P 66,702 $25.57 $1,705,570 2,558,752 Direct +2.68% Acquired -9.4% (price as of 2026-10-02)
Aug. 11, 2026 LILAP P 22,477 $8.50 $191,054 150,305 Indirect +17.58% Acquired 139.5% (price as of 2026-10-02)
Aug. 11, 2026 GLIBA P 68,800 $25.22 $1,735,136 2,492,050 Direct +2.84% Acquired -8.2% (price as of 2026-10-02)
Aug. 10, 2026 GLIBA P 259,680 $25.08 $6,512,774 2,276,200 Direct +12.88% Acquired -7.7% (price as of 2026-10-02)
Aug. 10, 2026 GLIBA P 147,050 $24.51 $3,604,196 2,423,250 Direct +6.46% Acquired -5.5% (price as of 2026-10-02)
Aug. 10, 2026 LILAP P 97,955 $8.47 $829,679 127,828 Indirect +327.90% Acquired 140.4% (price as of 2026-10-02)
Aug. 10, 2026 LILAP P 15,749 $20.40 $321,280 1,351,126 Indirect +1.18% Acquired -0.2% (price as of 2026-10-02)
Aug. 7, 2026 LILAP P 29,873 $8.50 $253,920 29,873 Indirect · Acquired 139.5% (price as of 2026-10-02)
Aug. 7, 2026 LILAP P 73,455 $20.42 $1,499,951 1,335,377 Indirect +5.82% Acquired -0.3% (price as of 2026-10-02)
June 26, 2026 LILAP P 17,693 $7.00 $123,851 3,725,813 Direct +0.48% Acquired 190.9% (price as of 2026-10-02)
June 25, 2026 LILAP P 45,300 $20.45 $926,385 1,261,922 Indirect +3.72% Acquired -0.4% (price as of 2026-10-02)
June 25, 2026 LILAP P 336,706 $6.96 $2,343,474 3,708,120 Direct +9.99% Acquired 192.5% (price as of 2026-10-02)
June 24, 2026 LILAP P 199,350 $20.39 $4,064,746 1,216,622 Indirect +19.60% Acquired -0.1% (price as of 2026-10-02)
June 23, 2026 LILAP P 400,000 $5.92 $2,368,000 3,371,414 Direct +13.46% Acquired 243.9% (price as of 2026-10-02)
June 23, 2026 LILAP P 1,474 $20.63 $30,409 1,017,272 Indirect +0.15% Acquired -1.3% (price as of 2026-10-02)
June 23, 2026 LILAP P 477,627 $20.36 $9,724,486 1,015,798 Indirect +88.75% Acquired 0.0% (price as of 2026-10-02)
June 22, 2026 LILAP P 224,109 $4.96 $1,111,581 21,397,127 Direct +1.06% Acquired 310.5% (price as of 2026-10-02)
June 22, 2026 LILAP P 1,095,072 $4.98 $5,453,459 2,971,414 Direct +58.36% Acquired 308.8% (price as of 2026-10-02)
June 22, 2026 LILAP P 260,299 $19.89 $5,177,347 538,171 Indirect +93.68% Acquired 2.4% (price as of 2026-10-02)
May 22, 2026 LILAP S 61,059 $8.63 $526,939 0 Indirect -100.00% Disposed 135.9% (price as of 2026-10-02)
May 22, 2026 LILAP P 61,059 $8.63 $526,939 1,876,342 Direct +3.36% Acquired 135.9% (price as of 2026-10-02)
May 22, 2026 LILAP S 12,345,404 $8.63 $106,540,837 0 Indirect -100.00% Disposed 135.9% (price as of 2026-10-02)
May 22, 2026 LILAP P 12,345,404 $8.63 $106,540,837 21,173,018 Direct +139.85% Acquired 135.9% (price as of 2026-10-02)
March 30, 2026 FWONK S 250,000 $5.14 $1,285,000 250,000 Direct -50.00% Disposed 1674.3% (price as of 2026-10-02)
March 2, 2026 GLIBA P 1,834 $43.29 $79,394 357,739 Direct +0.52% Acquired -46.5% (price as of 2026-10-02)
Feb. 25, 2026 BATRK S 14,614 $43.13 $630,302 2,662,534 Direct -0.55% Disposed 20.6% (price as of 2026-10-02)
Feb. 25, 2026 BATRK P 10,868 $58.00 $630,344 14,537 Direct +296.21% Acquired -10.3% (price as of 2026-10-02)
Feb. 5, 2026 BATRK P 35,000 $44.23 $1,548,050 521,862 Direct +7.19% Acquired 17.6% (price as of 2026-10-02)
Feb. 4, 2026 BATRK P 3,669 $48.17 $176,736 3,669 Direct · Acquired 8.0% (price as of 2026-10-02)

Showing latest 100 of 1161 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.

06
DateTickerSecurityUnderlying Exercise priceExpirationSharesA/D
Sept. 8, 2026 GLIBA Call option (obligation to sell) Series C GCI Group Common Stock (13,400) $41.20 · 13,400 Disposed
Sept. 8, 2026 GLIBA Put option (right to sell) Series C GCI Group Common Stock (13,400) $30.15 · 13,400 Disposed
Sept. 4, 2026 GLIBA Call option (obligation to sell) Series C GCI Group Common Stock (13,400) $41.20 · 13,400 Disposed
Sept. 4, 2026 GLIBA Put option (right to sell) Series C GCI Group Common Stock (13,400) $30.15 · 13,400 Disposed
Sept. 3, 2026 GLIBA Call option (obligation to sell) Series C GCI Group Common Stock (13,400) $41.20 · 13,400 Disposed
Sept. 3, 2026 GLIBA Put option (right to sell) Series C GCI Group Common Stock (13,400) $30.15 · 13,400 Disposed
Sept. 2, 2026 GLIBA Call option (obligation to sell) Series C GCI Group Common Stock (13,400) $41.20 · 13,400 Disposed
Sept. 2, 2026 GLIBA Put option (right to sell) Series C GCI Group Common Stock (13,400) $30.15 · 13,400 Disposed
Sept. 1, 2026 GLIBA Call option (obligation to sell) Series C GCI Group Common Stock (13,400) $41.20 · 13,400 Disposed
Sept. 1, 2026 GLIBA Put option (right to sell) Series C GCI Group Common Stock (13,400) $30.15 · 13,400 Disposed
Aug. 31, 2026 GLIBA Call option (obligation to sell) Series C GCI Group Common Stock (13,400) $41.20 · 13,400 Disposed
Aug. 31, 2026 GLIBA Put option (right to sell) Series C GCI Group Common Stock (13,400) $30.15 · 13,400 Disposed
Aug. 28, 2026 GLIBA Call option (obligation to sell) Series C GCI Group Common Stock (13,400) $41.20 · 13,400 Disposed
Aug. 28, 2026 GLIBA Put option (right to sell) Series C GCI Group Common Stock (13,400) $30.15 · 13,400 Disposed
Aug. 27, 2026 GLIBA Call option (obligation to sell) Series C GCI Group Common Stock (13,400) $41.20 · 13,400 Disposed
Aug. 27, 2026 GLIBA Put option (right to sell) Series C GCI Group Common Stock (13,400) $30.15 · 13,400 Disposed
Aug. 26, 2026 GLIBA Call option (obligation to sell) Series C GCI Group Common Stock (13,400) $41.20 · 13,400 Disposed
Aug. 26, 2026 GLIBA Put option (right to sell) Series C GCI Group Common Stock (13,400) $30.15 · 13,400 Disposed
Aug. 25, 2026 GLIBA Call option (obligation to sell) Series C GCI Group Common Stock (13,400) $41.20 · 13,400 Disposed
Aug. 25, 2026 GLIBA Put option (right to sell) Series C GCI Group Common Stock (13,400) $30.15 · 13,400 Disposed
Aug. 24, 2026 GLIBA Call option (obligation to sell) Series C GCI Group Common Stock (13,200) $41.20 · 13,200 Disposed
Aug. 24, 2026 GLIBA Put option (right to sell) Series C GCI Group Common Stock (13,200) $30.15 · 13,200 Disposed
Aug. 21, 2026 GLIBA Call option (obligation to sell) Series C GCI Group Common Stock (13,200) $41.20 · 13,200 Disposed
Aug. 21, 2026 GLIBA Put option (right to sell) Series C GCI Group Common Stock (13,200) $30.15 · 13,200 Disposed
Aug. 20, 2026 GLIBA Call option (obligation to sell) Series C GCI Group Common Stock (13,200) $41.20 · 13,200 Disposed
Aug. 20, 2026 GLIBA Put option (right to sell) Series C GCI Group Common Stock (13,200) $30.15 · 13,200 Disposed
Aug. 19, 2026 GLIBA Call option (obligation to sell) Series C GCI Group Common Stock (13,200) $41.20 · 13,200 Disposed
Aug. 19, 2026 GLIBA Put option (right to sell) Series C GCI Group Common Stock (13,200) $30.15 · 13,200 Disposed
Aug. 19, 2026 LBRDP Call option(obligation to sell) Series C Common Stock (66,000) $120.77 · 66,000 Disposed
Aug. 19, 2026 LBRDP Put option (right to sell) Series C Common Stock (66,000) $88.37 · 66,000 Disposed
Aug. 19, 2026 LBRDP Call option(obligation to sell) Series C Common Stock (868,000) $120.77 · 868,000 Disposed
Aug. 19, 2026 LBRDP Put option (right to sell) Series C Common Stock (868,000) $88.37 · 868,000 Disposed
Aug. 19, 2026 LBRDP Call option(obligation to sell) Series C Common Stock (400,000) $114.00 · 400,000 Disposed
Aug. 19, 2026 LBRDP Put option (right to sell) Series C Common Stock (400,000) $71.55 · 400,000 Disposed
Aug. 18, 2026 GLIBA Call option (obligation to sell) Series C GCI Group Common Stock (13,200) $41.20 · 13,200 Disposed
Aug. 18, 2026 GLIBA Put option (right to sell) Series C GCI Group Common Stock (13,200) $30.15 · 13,200 Disposed
Aug. 18, 2026 LBRDP Call option(obligation to sell) Series C Common Stock (66,000) $120.77 · 66,000 Disposed
Aug. 18, 2026 LBRDP Put option (right to sell) Series C Common Stock (66,000) $88.37 · 66,000 Disposed
March 30, 2026 FWONK Put Option (obligation to buy) Series A Liberty Formula One Common Stock (250,000) · · 250,000 Disposed
Dec. 15, 2025 GLIBA Subscription Right (Right to Buy) - GLIBK [F2] Series C GCI Group Common Stock (726,208) $27.20 · 726,208 Disposed
Dec. 15, 2025 GLIBA Subscription Right (Right to Buy) - GLIBK [F2] Series C GCI Group Common Stock (1,408) $27.20 · 1,408 Disposed
Dec. 15, 2025 GLIBA Subscription Right (Right to Buy) - GLIBK [F2] Series C GCI Group Common Stock (33,790) $27.20 · 33,790 Disposed
Dec. 15, 2025 GLIBA Subscription Right (Right to Buy) - GLIBK [F2] Series C GCI Group Common Stock (16,376) $27.20 · 16,376 Disposed
July 15, 2025 GLIBA Put option (right to sell) Series C GCI Group Common Stock (80,000) $22.85 · 80,000 Acquired
July 15, 2025 GLIBA Call option (obligation to sell) Series C GCI Group Common Stock (80,000) $36.41 · 80,000 Disposed
July 15, 2025 GLIBA Put option (right to sell) Series C GCI Group Common Stock (200,000) $30.15 · 200,000 Acquired
July 15, 2025 GLIBA Call option (obligation to sell) Series C GCI Group Common Stock (200,000) $41.20 · 200,000 Disposed
March 21, 2025 LBTYK Share Option C (right to buy) Class C Common Shares (498,601) $12.15 March 21, 2035 498,601 Acquired
Nov. 13, 2024 LBTYK Share Option A (right to buy) Class A Common Shares (45,150) $24.26 May 1, 2025 45,150 Acquired
Nov. 13, 2024 LBTYK Share Option A (right to buy) Class A Common Shares (52,411) $18.95 May 1, 2026 52,411 Acquired
Nov. 13, 2024 LBTYK Share Option A (right to buy) Class A Common Shares (56,246) $20.61 May 1, 2027 56,246 Acquired
Nov. 13, 2024 LBTYK Share Option C (right to buy) Class C Common Shares (90,182) $23.62 May 1, 2025 90,182 Acquired
Nov. 13, 2024 LBTYK Share Option C (right to buy) Class C Common Shares (103,836) $18.45 May 1, 2026 103,836 Acquired
Nov. 13, 2024 LBTYK Share Option C (right to buy) Class C Common Shares (111,434) $20.29 May 1, 2027 111,434 Acquired
Nov. 13, 2024 LBTYK Share Option C (right to buy) Class C Common Shares (223,009) $16.87 May 1, 2028 223,009 Acquired
Nov. 13, 2024 LBTYK Share Option C (right to buy) Class C Common Shares (425,056) $14.08 April 1, 2029 425,056 Acquired
Nov. 13, 2024 LBTYK Share Option C (right to buy) Class C Common Shares (660,435) $8.82 April 1, 2030 660,435 Acquired
Nov. 13, 2024 LBTYK Share Option C (right to buy) Class C Common Shares (400,558) $14.97 April 13, 2031 400,558 Acquired
Nov. 13, 2024 LBTYK Share Option C (right to buy) Class C Common Shares (338,963) $15.39 April 1, 2032 338,963 Acquired
Nov. 13, 2024 LBTYK Share Option C (right to buy) Class C Common Shares (457,627) $11.30 March 24, 2033 457,627 Acquired
Nov. 13, 2024 LBTYK Share Option C (right to buy) Class C Common Shares (597,199) $10.20 March 25, 2034 597,199 Acquired
June 5, 2024 FWONK Put option (right to sell) Series C Liberty Formula One Common Stock (166,171) $70.55 · 166,171 Acquired
June 5, 2024 FWONK Call option (obligation to sell) Series C Liberty Formula One Common Stock (166,171) $88.28 · 166,171 Disposed
June 5, 2024 FWONK Put option (right to sell) Series C Liberty Formula One Common Stock (2,280,381) $70.55 · 2,280,381 Acquired
June 5, 2024 FWONK Call option (obligation to sell) Series C Liberty Formula One Common Stock (2,280,381) $88.28 · 2,280,381 Disposed
March 25, 2024 LBTYK Share Option C (right to buy) Class C Common Shares (348,059) $17.49 March 25, 2034 348,059 Acquired
May 16, 2023 WBD Call option (obligation to sell) Series A Common Stock (3,650,000) $16.96 · 3,650,000 Disposed
May 16, 2023 WBD Put option (right to sell) Series A Common Stock (3,650,000) $10.93 · 3,650,000 Acquired
May 16, 2023 WBD Call option (obligation to sell) Series A Common Stock [F4] (3,650,000) $35.79 · 3,650,000 Disposed
May 16, 2023 WBD Put option (right to sell) Series A Common Stock [F4] (3,650,000) $25.23 · 3,650,000 Disposed
May 15, 2023 WBD Put Option (obligation to buy) Series A Common Stock (2,000,000) $10.00 May 15, 2023 2,000,000 Disposed
April 25, 2023 LBTYK Share Option A (right to buy) Class A Ordinary Shares (30,259) $32.81 May 1, 2023 30,259 Disposed
April 25, 2023 LBTYK Share Option A (right to buy) Class A Ordinary Shares (30,259) $32.81 May 1, 2026 30,259 Acquired
April 25, 2023 LBTYK Share Option A (right to buy) Class A Ordinary Shares (32,473) $35.69 May 1, 2024 32,473 Disposed
April 25, 2023 LBTYK Share Option A (right to buy) Class A Ordinary Shares (32,473) $35.69 May 1, 2027 32,473 Acquired
April 25, 2023 LBTYK Share Option C (right to buy) Class C Ordinary Shares (60,518) $31.65 May 1, 2023 60,518 Disposed
April 25, 2023 LBTYK Share Option C (right to buy) Class C Ordinary Shares (60,518) $31.65 May 1, 2026 60,518 Acquired
April 25, 2023 LBTYK Share Option C (right to buy) Class C Ordinary Shares (64,946) $34.80 May 1, 2024 64,946 Disposed
April 25, 2023 LBTYK Share Option C (right to buy) Class C Ordinary Shares (64,946) $34.80 May 1, 2027 64,946 Acquired
April 25, 2023 LBTYK Share Option C (right to buy) Class C Ordinary Shares (129,974) $28.94 May 1, 2025 129,974 Disposed
April 25, 2023 LBTYK Share Option C (right to buy) Class C Ordinary Shares (129,974) $28.94 May 1, 2028 129,974 Acquired
March 29, 2023 LBRDA Put option (right to sell) Series C Common Stock (400,000) $145.93 · 400,000 Disposed
March 29, 2023 LBRDA Call option(obligation to sell) Series C Common Stock (400,000) $228.01 · 400,000 Disposed
March 29, 2023 LBRDA Put option (right to sell) Series C Common Stock (400,000) $71.55 · 400,000 Acquired
March 29, 2023 LBRDA Call option(obligation to sell) Series C Common Stock (400,000) $114.00 · 400,000 Disposed
March 24, 2023 LBTYK Share Option C (right to buy) Class C Ordinary Shares (266,714) $19.38 March 24, 2033 266,714 Acquired
Nov. 8, 2022 WBD Put Option (obligation to buy) Series A Common Stock (2,000,000) $10.00 May 15, 2023 2,000,000 Disposed
April 1, 2022 LBTYK Share Option C (right to buy) Class C Ordinary Shares (197,554) $26.39 April 1, 2032 197,554 Acquired
Sept. 14, 2021 LBRDA Put option (right to sell) Series C Common Stock (400,000) $145.93 · 400,000 Acquired
Sept. 14, 2021 LBRDA Call option (obligation to sell) Series C Common Stock (400,000) $228.01 · 400,000 Disposed
April 13, 2021 LBTYK Share Option C (right to buy) Class C Ordinary Shares (233,453) $25.68 April 13, 2031 233,453 Acquired
April 13, 2021 LBTYK Share Option A (right to buy) Class A Ordinary Shares (20,802) $32.37 May 1, 2021 20,802 Disposed
April 13, 2021 LBTYK Share Option A (right to buy) Class A Ordinary Shares (20,802) $32.37 May 1, 2024 20,802 Acquired
April 13, 2021 LBTYK Share Option C (right to buy) Class C Ordinary Shares (41,393) $30.81 May 1, 2021 41,393 Disposed
April 13, 2021 LBTYK Share Option C (right to buy) Class C Ordinary Shares (41,393) $30.81 May 1, 2024 41,393 Acquired
April 13, 2021 LBTYK Share Option A (right to buy) Class A Ordinary Shares (26,067) $42.01 May 1, 2022 26,067 Disposed
April 13, 2021 LBTYK Share Option A (right to buy) Class A Ordinary Shares (26,067) $42.01 May 1, 2025 26,067 Acquired
April 13, 2021 LBTYK Share Option C (right to buy) Class C Ordinary Shares (52,560) $40.52 May 1, 2022 52,560 Disposed
April 13, 2021 LBTYK Share Option C (right to buy) Class C Ordinary Shares (52,560) $40.52 May 1, 2025 52,560 Acquired
Oct. 1, 2020 LILAP Restricted Share Units C [F4] Class C Common Shares · Oct. 5, 2020 1,670 Acquired

Showing latest 100 of 284 transactions

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

Initial ownership (Form 3) 35 holdings

07

Securities held when first becoming an insider, per SEC Form 3.

DateTickerSecuritySharesOwnership
Dec. 30, 2025 LLYVA Series A Liberty Live Group Common Stock 700,217 Direct
Dec. 30, 2025 LLYVA Series B Liberty Live Group Common Stock [F1] 2,262,545 Direct
Dec. 30, 2025 LLYVA Series C Liberty Live Group Common Stock 3,215,935 Direct
Dec. 30, 2025 LLYVA Series C Liberty Live Group Common Stock 143,750 Indirect
Dec. 30, 2025 LLYVA Series B Liberty Live Group Common Stock [F1] 100,137 Indirect
Dec. 30, 2025 LLYVA Series C Liberty Live Group Common Stock 130,225 Indirect
Dec. 30, 2025 LLYVA Series A Liberty Live Group Common Stock 26,533 Indirect
Dec. 30, 2025 LLYVA Series B Liberty Live Group Common Stock [F1] 73,988 Indirect
Dec. 30, 2025 LLYVA Series C Liberty Live Group Common Stock 297,194 Indirect
Dec. 30, 2025 LLYVA Series C Liberty Live Group Common Stock 1,486 Indirect
July 18, 2023 BATRK Series A Common Stock · Direct
July 18, 2023 BATRK Series B Common Stock [F2] · Direct
July 18, 2023 BATRK Series C Common Stock · Direct
July 18, 2023 BATRK Series C Common Stock · Indirect
July 18, 2023 BATRK Series A Common Stock · Indirect
July 18, 2023 BATRK Series B Common Stock [F2] · Indirect
July 18, 2023 BATRK Series C Common Stock · Indirect
April 6, 2015 STRZ Common Shares, no par value per share 539,657 Indirect
April 6, 2015 STRZ Common Shares, no par value per share 3,871,538 Indirect
June 17, 2013 LBTYK Class A Ordinary Shares 952,177 Direct
June 17, 2013 LBTYK Class A Ordinary Shares 90,303 Indirect
June 17, 2013 LBTYK Class B Ordinary Shares 8,677,225 Indirect
June 17, 2013 LBTYK Class C Ordinary Shares 2,596,009 Direct
June 17, 2013 LBTYK Class C Ordinary Shares 294,869 Indirect
June 17, 2013 LBTYK Forward sale contract (obligation to sell)→ Class C Ordinary Shares (1,100,000) 1,100,000 Direct
June 17, 2013 LBTYK Stock Option A (right to buy)→ Class A Ordinary Shares (27,323) 27,323 Direct
June 17, 2013 LBTYK Stock Option A (right to buy)→ Class A Ordinary Shares (22,141) 22,141 Direct
June 17, 2013 LBTYK Stock Option A (right to buy)→ Class A Ordinary Shares (24,104) 24,104 Direct
June 17, 2013 LBTYK Stock Option A (right to buy)→ Class A Ordinary Shares (18,194) 18,194 Direct
June 17, 2013 LBTYK Stock Option C (right to buy)→ Class C Ordinary Shares (28,819) 28,819 Direct
June 17, 2013 LBTYK Stock Option C (right to buy)→ Class C Ordinary Shares (23,194) 23,194 Direct
June 17, 2013 LBTYK Stock Option C (right to buy)→ Class C Ordinary Shares (24,999) 24,999 Direct
June 17, 2013 LBTYK Stock Option C (right to buy)→ Class C Ordinary Shares (19,584) 19,584 Direct
May 9, 2013 CHTRP No securities are beneficially owned 0 Direct
Aug. 16, 2005 EXPE Common Stock [F1] 0 Direct