Nair Balan

CIK 1398905 · View on SEC EDGAR ↗

Activist

First SEC filing: March 31, 2026 · Latest: March 31, 2026

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Insider at

Insider transactions

4 buys (P) 0 sells (S) Net: $1,337,354 + 93 non-open-market transactions below Avg return of open purchases vs now: 115.6% 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

93 other filings hidden
Date Ticker Code Shares Price Value Owned after Δ own A/D vs now
June 18, 2026 LILAP P 13,155 $18.95 $249,287 394,908 Direct +3.45% Acquired 8.5% (price as of 2026-08-21)
June 18, 2026 LILAP P 151,759 $4.95 $751,207 3,276,798 Direct +4.86% Acquired 315.2% (price as of 2026-08-21)
May 8, 2026 LILAP P 20,000 $8.07 $161,400 3,125,039 Direct +0.64% Acquired 154.7% (price as of 2026-08-21)
April 28, 2026 CHTR P 1,000 $175.46 $175,460 12,029 Direct +9.07% Acquired -16.1% (price as of 2026-08-21)
July 31, 2025 CHTR P 360 $274.21 $98,716 9,622 Direct +3.89% Acquired -46.3% (price as of 2026-08-21)
Nov. 9, 2021 ADTN P 4,773 $20.95 $99,994 70,096 Direct +7.31% Acquired -62.4% (price as of 2026-08-21)
Nov. 4, 2020 CHTR S 2,260 $637.61 $1,440,999 5,188 Direct -30.34% Disposed -76.9% (price as of 2026-08-21)

Showing latest 100 of 272 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 17, 2026 LILAP Restricted Share Units P Series A Preference Shares 61,935 Acquired
June 17, 2026 LILAP Restricted Share Units P Series A Preference Shares 46,359 Acquired
June 17, 2026 LILAP Restricted Share Units P Series A Preference Shares 23,622 Acquired
Dec. 31, 2023 ADTN Dividend Equivalent Rights Common Stock (168) 168 Disposed
Sept. 5, 2023 ADTN Dividend Equivalent Rights Common Stock (69) 69 Acquired
June 6, 2023 ADTN Dividend Equivalent Rights Common Stock (63) 63 Acquired
March 21, 2023 ADTN Dividend Equivalent Rights Common Stock (36) 36 Acquired
Dec. 31, 2022 ADTN Dividend Equivalent Rights Common Stock (69) 69 Disposed
Dec. 6, 2022 ADTN Dividend Equivalent Rights Common Stock (18) 18 Acquired
June 2, 2022 ADTN Dividend Equivalent Rights Common Stock (18) 18 Acquired
March 3, 2022 ADTN Dividend Equivalent Rights Common Stock (18) 18 Acquired
Dec. 31, 2021 ADTN Dividend Equivalent Rights Common Stock (114) 114 Disposed
Nov. 30, 2021 ADTN Dividend Equivalent Rights Common Stock (27) 27 Acquired
Sept. 2, 2021 ADTN Dividend Equivalent Rights Common Stock (26) 26 Acquired
June 3, 2021 ADTN Dividend Equivalent Rights Common Stock (27) 27 Acquired
March 4, 2021 ADTN Dividend Equivalent Rights Common Stock (34) 34 Acquired
Dec. 31, 2020 ADTN Dividend Equivalent Rights Common Stock (318) 318 Disposed
Dec. 1, 2020 ADTN Dividend Equivalent Rights Common Stock (65) 65 Acquired
Sept. 3, 2020 ADTN Dividend Equivalent Rights Common Stock (79) 79 Acquired
June 4, 2020 ADTN Dividend Equivalent Rights Common Stock (72) 72 Acquired
Dec. 31, 2018 ADTN Dividend Equivalent Rights Common Stock (111) 111 Disposed
Nov. 14, 2018 ADTN Dividend Equivalent Rights Common Stock (31) 31 Acquired
Aug. 15, 2018 ADTN Dividend Equivalent Rights Common Stock (26) 26 Acquired
May 16, 2018 ADTN Dividend Equivalent Rights Common Stock (28) 28 Acquired
Feb. 14, 2018 ADTN Dividend Equivalent Rights Common Stock (26) 26 Acquired
Dec. 31, 2017 ADTN Dividend Equivalent Rights Common Stock (70) 70 Disposed
Nov. 15, 2017 ADTN Dividend Equivalent Rights Common Stock (17) 17 Acquired
Aug. 17, 2017 ADTN Dividend Equivalent Rights Common Stock (17) 17 Acquired
May 18, 2017 ADTN Dividend Equivalent Rights Common Stock (19) 19 Acquired
Feb. 16, 2017 ADTN Dividend Equivalent Rights Common Stock (17) 17 Acquired
Dec. 31, 2016 ADTN Dividend Equivalent Rights Common Stock (90) 90 Disposed
Nov. 17, 2016 ADTN Dividend Equivalent Rights Common Stock (90) 21 Acquired
Aug. 11, 2016 ADTN Dividend Equivalent Rights Common Stock (23) 23 Acquired
May 12, 2016 ADTN Dividend Equivalent Rights Common Stock (22) 22 Acquired
Feb. 24, 2016 LBTYB LiLAC Restricted Share Units C LiLAC Class C (2,703) 2,703 Acquired
Feb. 24, 2016 LBTYB LiLAC Restricted Share Units A LiLAC Class A (1,351) 1,351 Acquired
Feb. 24, 2016 LBTYB Liberty Global Restricted Share Units C Liberty Global Class C (54,062) 54,062 Acquired
Feb. 24, 2016 LBTYB Liberty Global Restricted Share Units A Liberty Global Class A (27,031) 27,031 Acquired
Feb. 18, 2016 ADTN Dividend Equivalent Rights Common Stock (23) 23 Acquired
Dec. 31, 2015 ADTN Dividend Equivalent Rights Common Stock (76) 76 Disposed
Nov. 12, 2015 ADTN Dividend Equivalent Rights Common Stock (21) 21 Acquired
Sept. 30, 2015 LBTYB LiLAC Restricted Share Units C LiLAC Class C (1,455) 1,455 Disposed
Sept. 30, 2015 LBTYB LiLAC Restricted Share Units A LiLAC Class A (485) 485 Disposed
Sept. 30, 2015 LBTYB Liberty Global Restricted Share Units C Liberty Global Class C (29,103) 29,103 Disposed
Sept. 30, 2015 LBTYB Liberty Global Restricted Share Units A Liberty Global Class A (9,701) 9,701 Disposed
Aug. 13, 2015 ADTN Dividend Equivalent Rights Common Stock (21) 21 Acquired
July 9, 2015 LBTYB LiLAC Share Appreciation Rights C LiLAC Class C (5,359) $46.52 May 1, 2022 5,359 Acquired
July 9, 2015 LBTYB LiLAC Share Appreciation Rights C LiLAC Class C (6,690) $35.37 May 1, 2021 6,690 Acquired
July 9, 2015 LBTYB LiLAC Share Appreciation Rights C LiLAC Class C (3,744) $31.14 May 1, 2020 3,744 Acquired
July 9, 2015 LBTYB LiLAC Share Appreciation Rights C LiLAC Class C (1,872) $33.35 May 1, 2020 1,872 Acquired
July 9, 2015 LBTYB LiLAC Share Appreciation Rights C LiLAC Class C (3,972) $21.81 May 1, 2019 3,972 Acquired
July 9, 2015 LBTYB LiLAC Share Appreciation Rights C LiLAC Class C (1,986) $22.51 May 1, 2019 1,986 Acquired
July 9, 2015 LBTYB LiLAC Share Appreciation Rights C LiLAC Class C (4,194) $20.09 May 1, 2018 4,194 Acquired
July 9, 2015 LBTYB LiLAC Share Appreciation Rights C LiLAC Class C (2,097) $20.93 May 1, 2018 2,097 Acquired
July 9, 2015 LBTYB LiLAC Share Appreciation Rights C LiLAC Class C (2,664) $12.26 May 1, 2017 2,664 Acquired
July 9, 2015 LBTYB LiLAC Share Appreciation Rights C LiLAC Class C (1,332) $12.37 May 1, 2017 1,332 Acquired
July 9, 2015 LBTYB LiLAC Share Appreciation Rights A LiLAC Class A (2,627) $45.52 May 1, 2022 2,627 Acquired
July 9, 2015 LBTYB LiLAC Share Appreciation Rights A LiLAC Class A (3,360) $35.06 May 1, 2021 3,360 Acquired
July 9, 2015 LBTYB LiLAC Share Appreciation Rights A LiLAC Class A (1,880) $31.91 May 1, 2020 1,880 Acquired
July 9, 2015 LBTYB LiLAC Share Appreciation Rights A LiLAC Class A (1,995) $21.53 May 1, 2019 1,995 Acquired
July 9, 2015 LBTYB LiLAC Share Appreciation Rights A LiLAC Class A (2,106) $20.03 May 1, 2018 2,106 Acquired
July 9, 2015 LBTYB LiLAC Share Appreciation Rights A LiLAC Class A (1,338) $11.84 May 1, 2017 1,338 Acquired
July 9, 2015 LBTYB LiLAC Restricted Share Units C LiLAC Class C (1,455) 1,455 Acquired
July 9, 2015 LBTYB LiLAC Restricted Share Units A LiLAC Class A (485) 485 Acquired
July 9, 2015 LBTYB Share Appreciation Rights C Liberty Global Class C (105,606) May 1, 2022 105,606 Acquired
July 9, 2015 LBTYB Share Appreciation Rights C Liberty Global Class C (133,804) May 1, 2021 133,804 Acquired
July 9, 2015 LBTYB Share Appreciation Rights C Liberty Global Class C (74,888) May 1, 2020 74,888 Acquired
July 9, 2015 LBTYB Share Appreciation Rights C Liberty Global Class C (37,435) May 1, 2020 37,435 Acquired
July 9, 2015 LBTYB Share Appreciation Rights C Liberty Global Class C (79,451) May 1, 2019 79,451 Acquired
July 9, 2015 LBTYB Share Appreciation Rights C Liberty Global Class C (39,722) May 1, 2019 39,722 Acquired
July 9, 2015 LBTYB Share Appreciation Rights C Liberty Global Class C (83,905) May 1, 2018 83,905 Acquired
July 9, 2015 LBTYB Share Appreciation Rights C Liberty Global Class C (42,956) May 1, 2018 42,956 Acquired
July 9, 2015 LBTYB Share Appreciation Rights C Liberty Global Class C (53,296) May 1, 2017 53,296 Acquired
July 9, 2015 LBTYB Share Appreciation Rights C Liberty Global Class C (26,641) May 1, 2017 26,641 Acquired
July 9, 2015 LBTYB Share Appreciation Rights A Liberty Global Class A (52,376) May 1, 2022 52,376 Acquired
July 9, 2015 LBTYB Share Appreciation Rights A Liberty Global Class A (67,243) May 1, 2021 67,243 Acquired
July 9, 2015 LBTYB Share Appreciation Rights A Liberty Global Class A (37,610) May 1, 2020 37,610 Acquired
July 9, 2015 LBTYB Share Appreciation Rights A Liberty Global Class A (39,899) May 1, 2019 39,899 Acquired
July 9, 2015 LBTYB Share Appreciation Rights A Liberty Global Class A (42,136) May 1, 2018 42,136 Acquired
July 9, 2015 LBTYB Share Appreciation Rights A Liberty Global Class A (26,767) May 1, 2017 26,767 Acquired
May 21, 2015 ADTN Dividend Equivalent Rights Common Stock (20) 20 Acquired
May 1, 2015 LBTYB Stock Appreciation Rights C Class C Ordinary Shares (99,654) $51.40 May 1, 2022 99,654 Acquired
May 1, 2015 LBTYB Stock Appreciation Rights A Class A Ordinary Shares (49,827) $53.11 May 1, 2022 49,827 Acquired
March 31, 2015 LBTYB Restricted Share Units C Class C Ordinary Shares (29,101) 29,101 Disposed
March 31, 2015 LBTYB Restricted Share Units A Class A Ordinary Shares (9,700) 9,700 Disposed
Feb. 19, 2015 ADTN Dividend Equivalent Rights Common Stock (14) 14 Acquired
Feb. 18, 2015 LBTYB Restricted Share Units C Class C Ordinary Shares (58,204) 58,204 Acquired
Feb. 18, 2015 LBTYB Restricted Share Units A Class A Ordinary Shares (19,401) 19,401 Acquired
Dec. 31, 2014 ADTN Dividend Equivalent Rights Common Stock (48) 48 Disposed
Nov. 13, 2014 ADTN Dividend equivalent rights Common stock (14) 14 Acquired
Sept. 30, 2014 LBTYB Restricted Share Units C Class C Ordinary Shares (23,679) 23,679 Disposed
Sept. 30, 2014 LBTYB Restricted Share Units A Class A Ordinary Shares (7,893) 7,893 Disposed
Aug. 14, 2014 ADTN Dividend Equivalent Rights Common Stock (12) 12 Acquired
June 25, 2014 LBTYB Stock Option C (right to buy) Class C Ordinary Shares (17,500) $21.94 July 16, 2014 17,500 Disposed
May 21, 2014 LBTYB Stock Option C (right to buy) Class C Ordinary Shares (17,500) July 16, 2014 17,500 Disposed
May 21, 2014 LBTYB Stock Option A (right to buy) Class A Ordinary Shares (5,830) July 16, 2014 5,830 Disposed
May 15, 2014 ADTN Dividend Equivalent Rights Common Stock (12) 12 Acquired
May 13, 2014 LBTYB Stock Option C (right to buy) Class C Ordinary Shares (17,500) $21.19 July 16, 2014 17,500 Disposed
May 13, 2014 LBTYB Stock Option A (right to buy) Class A Ordinary Shares (5,830) $22.15 July 16, 2014 5,830 Disposed
May 8, 2014 LBTYB Stock Option A (right to buy) Class A Ordinary Shares (5,840) $22.15 July 16, 2014 5,840 Disposed

Showing latest 100 of 132 transactions

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

Initial ownership (Form 3) 16 holdings

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

Date Ticker Security Shares Ownership
July 11, 2022 ADTN No securities are beneficially owned 0 Direct
June 17, 2013 LBTYB Class A Ordinary Shares 73,279 Direct
June 17, 2013 LBTYB Class C Ordinary Shares 87,376 Direct
June 17, 2013 LBTYB Class C Ordinary Shares 2,684 Indirect
June 17, 2013 LBTYB Restricted Share Units C→ Class C Ordinary Shares (703) 703 Direct
June 17, 2013 LBTYB Stock Appreciation Rights A→ Class A Ordinary Shares (25,488) 25,488 Direct
June 17, 2013 LBTYB Stock Appreciation Rights A→ Class A Ordinary Shares (40,128) 40,128 Direct
June 17, 2013 LBTYB Stock Appreciation Rights A→ Class A Ordinary Shares (38,000) 38,000 Direct
June 17, 2013 LBTYB Stock Appreciation Rights A→ Class A Ordinary Shares (35,808) 35,808 Direct
June 17, 2013 LBTYB Stock Appreciation Rights C→ Class C Ordinary Shares (25,488) 25,488 Direct
June 17, 2013 LBTYB Stock Appreciation Rights C→ Class C Ordinary Shares (40,128) 40,128 Direct
June 17, 2013 LBTYB Stock Appreciation Rights C→ Class C Ordinary Shares (38,000) 38,000 Direct
June 17, 2013 LBTYB Stock Appreciation Rights C→ Class C Ordinary Shares (35,808) 35,808 Direct
June 17, 2013 LBTYB Stock Option A (right to buy)→ Class A Ordinary Shares (37,500) 37,500 Direct
June 17, 2013 LBTYB Stock Option C (right to buy)→ Class C Ordinary Shares (37,500) 37,500 Direct
May 3, 2013 CHTR Class A Common Stock - No Securities Owned 0 Direct