Matthew Dunnigan

CIK 1728874 · View on SEC EDGAR ↗

Insider

First SEC filing: Jan. 31, 2018 · Latest: Jan. 31, 2018

On this page

Insider at

Insider transactions

0 buys (P) 0 sells (S) Net: $0 + 94 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

94 other filings hidden
Date Ticker Code Shares Price Value Owned after Δ own A/D vs now
Feb. 22, 2024 QSR S 46,701 $75.55 $3,528,261 128,154 Direct -26.71% Disposed 5.0% (price as of 2026-08-21)
Feb. 20, 2024 QSR S 14,565 $76.26 $1,110,727 55,863 Direct -20.68% Disposed 4.0% (price as of 2026-08-21)
Jan. 5, 2024 QSR S 8,275 $76.55 $633,451 33,312 Direct -19.90% Disposed 3.6% (price as of 2026-08-21)
Dec. 15, 2023 QSR S 1,462 $73.68 $107,720 41,652 Direct -3.39% Disposed 7.6% (price as of 2026-08-21)
May 19, 2023 QSR S 45,000 $73.21 $3,294,450 39,391 Direct -53.32% Disposed 8.3% (price as of 2026-08-21)
Jan. 4, 2023 QSR S 5,940 $65.04 $386,338 50,514 Direct -10.52% Disposed 21.9% (price as of 2026-08-21)

Showing latest 100 of 265 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, 2024 QSR Performance Share Units Common Shares (33,165) March 15, 2027 33,165 Acquired
Feb. 23, 2024 QSR Restricted Share Units Common Shares (14,709) 14,709 Acquired
Feb. 22, 2024 QSR Performance Share Units Common Shares (118,992) Feb. 22, 2024 118,992 Disposed
Feb. 19, 2024 QSR Performance Share Units Common Shares (37,115) Feb. 19, 2024 37,115 Disposed
Jan. 4, 2024 QSR Performance Share Units Common Shares (272) Feb. 22, 2026 272 Acquired
Jan. 4, 2024 QSR Restricted Share Units Common Shares (80) 80 Acquired
Jan. 4, 2024 QSR Performance Share Units Common Shares (378) Feb. 25, 2025 378 Acquired
Jan. 4, 2024 QSR Restricted Share Units Common Shares (61) 61 Acquired
Jan. 4, 2024 QSR Performance Share Units Common Shares (265) Feb. 19, 2024 265 Acquired
Jan. 4, 2024 QSR Restricted Share Units Common Shares (20) 20 Acquired
Jan. 4, 2024 QSR Performance Share Units Common Shares (413) Feb. 21, 2025 413 Acquired
Jan. 4, 2024 QSR Restricted Share Units Common Shares (61) 61 Acquired
Jan. 4, 2024 QSR Performance Share Units Common Shares (850) Feb. 22, 2024 850 Acquired
Dec. 31, 2023 QSR Restricted Share Units Common Shares (4,205) 4,205 Disposed
Dec. 31, 2023 QSR Restricted Share Units Common Shares (2,741) 2,741 Disposed
Dec. 31, 2023 QSR Restricted Share Units Common Shares (6,050) 6,050 Disposed
Dec. 31, 2023 QSR Restricted Share Units Common Shares (7,679) 7,679 Disposed
Dec. 15, 2023 QSR Restricted Share Units Common Shares (3,723) 3,723 Disposed
Oct. 4, 2023 QSR Performance Share Unit Common Shares (324) Feb. 22, 2026 324 Acquired
Oct. 4, 2023 QSR Restricted Share Units Common Shares (128) 128 Acquired
Oct. 4, 2023 QSR Performance Share Unit Common Shares (450) Feb. 25, 2025 450 Acquired
Oct. 4, 2023 QSR Restricted Share Units Common Shares (108) 108 Acquired
Oct. 4, 2023 QSR Performance Share Units Common Shares (316) Feb. 19, 2024 316 Acquired
Oct. 4, 2023 QSR Restricted Share Units Common Shares (47) 47 Acquired
Oct. 4, 2023 QSR Restricted Share Units Common Shares (52) 52 Acquired
Oct. 4, 2023 QSR Performance Share Units Common Shares (491) Feb. 21, 2025 491 Acquired
Oct. 4, 2023 QSR Restricted Share Units Common Shares (73) 73 Acquired
Oct. 4, 2023 QSR Performance Share Units Common Shares (1,012) Feb. 22, 2024 1,012 Acquired
Oct. 4, 2023 QSR Restricted Share Units Common Shares (66) 66 Acquired
July 6, 2023 QSR Performance Share Unit Common Shares (266) Feb. 22, 2026 266 Acquired
July 6, 2023 QSR Restricted Share Units Common Shares (105) 105 Acquired
July 6, 2023 QSR Performance Share Unit Common Shares (369) Feb. 25, 2025 369 Acquired
July 6, 2023 QSR Restricted Share Units Common Shares (89) 89 Acquired
July 6, 2023 QSR Performance Share Units Common Shares (259) Feb. 19, 2024 259 Acquired
July 6, 2023 QSR Restricted Share Units Common Shares (39) 39 Acquired
July 6, 2023 QSR Restricted Share Units Common Shares (43) 43 Acquired
July 6, 2023 QSR Performance Share Units Common Shares (403) Feb. 21, 2025 403 Acquired
July 6, 2023 QSR Restricted Share Units Common Shares (60) 60 Acquired
July 6, 2023 QSR Performance Share Units Common Shares (831) Feb. 22, 2024 831 Acquired
July 6, 2023 QSR Restricted Share Units Common Shares (54) 54 Acquired
May 19, 2023 QSR Option (right to buy) Common Shares (30,000) $42.26 March 5, 2025 30,000 Disposed
April 5, 2023 QSR Performance Share Unit Common Shares (307) Feb. 22, 2026 307 Acquired
April 5, 2023 QSR Restricted Share Units Common Shares (121) 121 Acquired
April 5, 2023 QSR Performance Share Unit Common Shares (426) Feb. 25, 2025 426 Acquired
April 5, 2023 QSR Restricted Share Units Common Shares (102) 102 Acquired
April 5, 2023 QSR Performance Share Units Common Shares (299) Feb. 19, 2024 299 Acquired
April 5, 2023 QSR Restricted Share Units Common Shares (44) 44 Acquired
April 5, 2023 QSR Restricted Share Units Common Shares (49) 49 Acquired
April 5, 2023 QSR Performance Share Units Common Shares (465) Feb. 21, 2025 465 Acquired
April 5, 2023 QSR Restricted Share Units Common Shares (69) 69 Acquired
April 5, 2023 QSR Performance Share Units Common Shares (958) Feb. 22, 2024 958 Acquired
April 5, 2023 QSR Restricted Share Units Common Shares (62) 62 Acquired
Feb. 22, 2023 QSR Performance Share Unit Common Shares (36,900) Feb. 22, 2026 36,900 Acquired
Feb. 22, 2023 QSR Restricted Share Units Common Shares (14,541) 14,541 Acquired
Jan. 4, 2023 QSR Performance Share Unit Common Shares (426) Feb. 25, 2022 426 Acquired
Jan. 4, 2023 QSR Restricted Share Units Common Shares (102) 102 Acquired
Jan. 4, 2023 QSR Performance Share Units Common Shares (299) Feb. 19, 2024 299 Acquired
Jan. 4, 2023 QSR Restricted Share Units Common Shares (44) 44 Acquired
Jan. 4, 2023 QSR Restricted Share Units Common Shares (49) 49 Acquired
Jan. 4, 2023 QSR Performance Share Units Common Shares (465) Feb. 21, 2025 465 Acquired
Jan. 4, 2023 QSR Restricted Share Units Common Shares (69) 69 Acquired
Jan. 4, 2023 QSR Performance Share Units Common Shares (958) Feb. 22, 2024 958 Acquired
Jan. 4, 2023 QSR Restricted Share Units Common Shares (62) 62 Acquired
Dec. 31, 2022 QSR Restricted Share Units Common Shares (4,071) 4,071 Disposed
Dec. 31, 2022 QSR Restricted Share Units Common Shares (2,653) 2,653 Disposed
Dec. 31, 2022 QSR Restricted Share Units Common Shares (5,858) 5,858 Disposed
Dec. 31, 2022 QSR Restricted Share Units Common Shares (2,298) 2,298 Disposed
Oct. 5, 2022 QSR Performance Share Unit Common Shares (490) Feb. 25, 2022 490 Acquired
Oct. 5, 2022 QSR Restricted Share Units Common Shares (157) 157 Acquired
Oct. 5, 2022 QSR Performance Share Units Common Shares (344) Feb. 19, 2024 344 Acquired
Oct. 5, 2022 QSR Restricted Share Units Common Shares (77) 77 Acquired
Oct. 5, 2022 QSR Restricted Share Units Common Shares (113) 113 Acquired
Oct. 5, 2022 QSR Performance Share Units Common Shares (535) Feb. 21, 2025 535 Acquired
Oct. 5, 2022 QSR Restricted Share Units Common Shares (79) 79 Acquired
Oct. 5, 2022 QSR Performance Share Units Common Shares (1,103) Feb. 22, 2024 1,103 Acquired
Oct. 5, 2022 QSR Restricted Share Units Common Shares (72) 72 Acquired
Oct. 5, 2022 QSR Restricted Share Units Common Shares (22) 22 Acquired
July 6, 2022 QSR Performance Share Unit Common Shares (520) Feb. 25, 2022 520 Acquired
July 6, 2022 QSR Restricted Share Units Common Shares (167) 167 Acquired
July 6, 2022 QSR Performance Share Units Common Shares (365) Feb. 19, 2024 365 Acquired
July 6, 2022 QSR Restricted Share Units Common Shares (81) 81 Acquired
July 6, 2022 QSR Restricted Share Units Common Shares (120) 120 Acquired
July 6, 2022 QSR Performance Share Units Common Shares (568) Feb. 21, 2025 568 Acquired
July 6, 2022 QSR Restricted Share Units Common Shares (84) 84 Acquired
July 6, 2022 QSR Performance Share Units Common Shares (1,171) Feb. 22, 2024 1,171 Acquired
July 6, 2022 QSR Restricted Share Units Common Shares (76) 76 Acquired
July 6, 2022 QSR Restricted Share Units Common Shares (24) 24 Acquired
April 20, 2022 QSR Performance Share Unit Common Shares (49,817) Feb. 25, 2022 49,817 Acquired
April 6, 2022 QSR Restricted Share Units Common Shares (145) 145 Acquired
April 6, 2022 QSR Performance Share Units Common Shares (318) Feb. 19, 2024 318 Acquired
April 6, 2022 QSR Restricted Share Units Common Shares (71) 71 Acquired
April 6, 2022 QSR Restricted Share Units Common Shares (105) 105 Acquired
April 6, 2022 QSR Performance Share Units Common Shares (496) Feb. 21, 2025 496 Acquired
April 6, 2022 QSR Restricted Share Units Common Shares (73) 73 Acquired
April 6, 2022 QSR Performance Share Units Common Shares (1,021) Feb. 22, 2024 1,021 Acquired
April 6, 2022 QSR Restricted Share Units Common Shares (66) 66 Acquired
April 6, 2022 QSR Restricted Share Units Common Shares (21) 21 Acquired
Feb. 25, 2022 QSR Restricted Share Units Common Shares (15,816) 15,816 Acquired
Jan. 5, 2022 QSR Performance Share Units Common Shares (310) Feb. 19, 2024 310 Acquired
Jan. 5, 2022 QSR Restricted Share Units Common Shares (69) 69 Acquired

Showing latest 100 of 222 transactions

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

Initial ownership (Form 3) 10 holdings

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

Date Ticker Security Shares Ownership
Jan. 31, 2018 QSR Common Shares 2,465 Direct
Jan. 31, 2018 QSR Option (right to buy)→ Common Shares (30,000) 30,000 Direct
Jan. 31, 2018 QSR Restricted Share Units→ Common Shares (4,596) 4,596 Direct
Jan. 31, 2018 QSR Dividend Equivalent Rights→ Common Shares (127) 127 Direct
Jan. 31, 2018 QSR Restricted Share Units→ Common Shares (2,593) 2,593 Direct
Jan. 31, 2018 QSR Dividend Equivalent Rights→ Common Shares (33) 33 Direct
Jan. 31, 2018 QSR Performance Share Units→ Common Shares (60,000) 60,000 Direct
Jan. 31, 2018 QSR Dividend Equivalent Rights→ Common Shares (1,652) 1,652 Direct
Jan. 31, 2018 QSR Option (right to buy)→ Common Shares (40,000) 40,000 Direct
Jan. 31, 2018 QSR Option (right to buy)→ Common Shares (40,000) 40,000 Direct

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 $650,000 $3,674,056 $985,585 $2,555 $5,312,196
2019 $464,615 $6,895,875 $489,755 $23,319 $7,873,564

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