Paul J Krump

CIK 1191204 · View on SEC EDGAR ↗

Insider

First SEC filing: Jan. 19, 2016 · Latest: Jan. 19, 2016

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Insider at

Insider transactions

0 buys (P) 0 sells (S) Net: $0 + 69 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

69 other filings hidden
Date Ticker Code Shares Price Value Owned after Δ own A/D vs now
Aug. 8, 2025 BRO P 2,678 $93.31 $249,884 5,353 Direct +100.11% Acquired -22.9% (price as of 2026-08-21)
March 10, 2022 CB S 5,760 $201.91 $1,163,002 93,932 Direct -5.78% Disposed 70.1% (price as of 2026-08-21)
March 10, 2022 CB S 6,328 $201.80 $1,276,990 93,932 Direct -6.31% Disposed 70.2% (price as of 2026-08-21)
March 10, 2022 CB S 5,170 $201.49 $1,041,703 93,932 Direct -5.22% Disposed 70.5% (price as of 2026-08-21)
Oct. 29, 2021 CB S 30,925 $196.97 $6,091,297 77,402 Direct -28.55% Disposed 74.4% (price as of 2026-08-21)
May 6, 2021 CB S 5,157 $172.25 $888,293 113,545 Direct -4.34% Disposed 99.4% (price as of 2026-08-21)
May 6, 2021 CB S 9,804 $172.16 $1,687,857 114,243 Direct -7.90% Disposed 99.5% (price as of 2026-08-21)
May 6, 2021 CB S 11,833 $172.01 $2,035,394 114,243 Direct -9.39% Disposed 99.7% (price as of 2026-08-21)
May 6, 2021 CB S 6,329 $171.89 $1,087,892 114,243 Direct -5.25% Disposed 99.8% (price as of 2026-08-21)
Feb. 23, 2021 CB S 10b5-1 500 $171.12 $85,560 95,634 Direct -0.52% Disposed 100.7% (price as of 2026-08-21)
Feb. 23, 2021 CB S 10b5-1 5,400 $170.55 $920,970 96,134 Direct -5.32% Disposed 101.4% (price as of 2026-08-21)
Feb. 8, 2021 CB S 10b5-1 5,600 $165.05 $924,280 101,921 Direct -5.21% Disposed 108.1% (price as of 2026-08-21)
Feb. 5, 2021 CB S 10b5-1 500 $165.02 $82,510 107,521 Direct -0.46% Disposed 108.2% (price as of 2026-08-21)
Feb. 4, 2021 CB S 10b5-1 6,250 $160.06 $1,000,375 108,021 Direct -5.47% Disposed 114.6% (price as of 2026-08-21)
Feb. 5, 2020 CB S 10b5-1 7,000 $165.00 $1,155,000 107,303 Direct -6.12% Disposed 108.2% (price as of 2026-08-21)
Nov. 14, 2019 CB S 5,251 $152.23 $799,360 114,303 Direct -4.39% Disposed 125.6% (price as of 2026-08-21)
Nov. 14, 2019 CB S 10,312 $151.99 $1,567,321 114,303 Direct -8.28% Disposed 126.0% (price as of 2026-08-21)
Aug. 9, 2019 CB S 10b5-1 6,000 $160.00 $960,000 112,865 Direct -5.05% Disposed 114.7% (price as of 2026-08-21)
Aug. 7, 2019 CB S 10b5-1 5,000 $155.00 $775,000 118,865 Direct -4.04% Disposed 121.6% (price as of 2026-08-21)
June 10, 2019 CB S 10b5-1 4,000 $150.00 $600,000 123,865 Direct -3.13% Disposed 129.0% (price as of 2026-08-21)
June 4, 2019 CB S 10,250 $147.41 $1,510,952 127,865 Direct -7.42% Disposed 133.0% (price as of 2026-08-21)
April 30, 2019 CB S 10b5-1 3,450 $145.00 $500,250 139,160 Direct -2.42% Disposed 136.9% (price as of 2026-08-21)
July 31, 2018 CB S 61 $140.04 $8,542 0 Indirect -100.00% Disposed 145.3% (price as of 2026-08-21)
July 31, 2018 CB S 65 $140.04 $9,103 0 Indirect -100.00% Disposed 145.3% (price as of 2026-08-21)
March 23, 2018 CB S 7 $135.66 $950 0 Indirect -100.00% Disposed 153.2% (price as of 2026-08-21)
Dec. 21, 2017 CB P 28 $145.34 $4,070 61 Indirect +84.85% Acquired 136.3% (price as of 2026-08-21)
Nov. 28, 2017 CB S 2 $150.93 $302 65 Indirect -2.99% Disposed 127.6% (price as of 2026-08-21)
July 24, 2017 CB P 4 $147.12 $588 7 Indirect +133.33% Acquired 133.5% (price as of 2026-08-21)
June 30, 2017 CB P 33 $145.19 $4,791 33 Indirect Acquired 136.6% (price as of 2026-08-21)
June 30, 2017 CB P 67 $145.19 $9,728 67 Indirect Acquired 136.6% (price as of 2026-08-21)
June 23, 2017 CB P 3 $145.07 $435 3 Indirect Acquired 136.8% (price as of 2026-08-21)

Showing latest 100 of 345 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
March 10, 2022 CB Options to Acquire Common Shares Common Shares (5,760) $164.94 Feb. 25, 2031 5,760 Disposed
March 10, 2022 CB Options to Acquire Common Shares Common Shares (6,328) $150.11 Feb. 27, 2030 6,328 Disposed
March 10, 2022 CB Options to Acquire Common Shares Common Shares (5,917) $133.90 Feb. 28, 2029 5,917 Disposed
Feb. 24, 2022 CB Options to Acquire Common Shares Common Shares (15,575) $199.03 Feb. 24, 2032 15,575 Acquired
May 6, 2021 CB Options to Acquire Common Shares Common Shares (5,157) $139.01 Feb. 23, 2027 5,157 Disposed
May 6, 2021 CB Options to Acquire Common Shares Common Shares (6,329) $150.11 Feb. 27, 2030 6,329 Disposed
May 6, 2021 CB Options to Acquire Common Shares Common Shares (11,833) $133.90 Feb. 28, 2029 11,833 Disposed
May 6, 2021 CB Options to Acquire Common Shares Common Shares (10,502) $143.07 Feb. 22, 2028 10,502 Disposed
Feb. 25, 2021 CB Options to Acquire Common Shares Common Shares (17,277) $164.94 Feb. 25, 2031 17,277 Acquired
March 5, 2020 CB Options to Acquire Common Shares Common Shares (719) $139.01 Feb. 23, 2027 719 Disposed
Feb. 27, 2020 CB Options to Acquire Common Shares Common Shares (18,985) $150.11 Feb. 27, 2030 18,985 Acquired
Nov. 14, 2019 CB Options to Acquire Common Shares (5,251) $143.07 Feb. 22, 2028 5,251 Disposed
Nov. 14, 2019 CB Options to Acquire Common Shares (11,750) $139.01 Feb. 23, 2027 11,750 Disposed
Feb. 28, 2019 CB Options to Acquire Common Shares Common Shares (17,750) $133.90 Feb. 28, 2029 17,750 Acquired
Dec. 17, 2018 CB Restricted Stock Units Common Shares (5,134) $0.00 5,134 Disposed
Dec. 17, 2018 CB Performance Units Common Shares (15,404) $0.00 15,404 Disposed
Feb. 25, 2018 CB Performance Share Units Common Shares (20,156) $0.00 20,156 Disposed
Feb. 25, 2018 CB Restricted Stock Units Common Shares (6,719) $0.00 6,719 Disposed
Feb. 22, 2018 CB Options to Acquire Common Shares Common Shares (15,753) $143.07 Feb. 22, 2028 15,753 Acquired
Feb. 26, 2017 CB Restricted Stock Units Common Shares (7,262) $0.00 7,262 Disposed
Feb. 26, 2017 CB Performance Units Common Shares (21,788) $0.00 21,788 Disposed
Feb. 23, 2017 CB Options to Acquire Common Shares Common Shares (17,626) $139.01 Feb. 23, 2027 17,626 Acquired
March 10, 2016 CB Deferred Stock Units Common Shares (2,471) $0.00 2,471 Disposed
Feb. 27, 2016 CB Restricted Stock Units Common Shares (6,624) $0.00 6,624 Disposed
Jan. 14, 2016 20171 STOCK UNITS DEFERRED Common Shares (8,278) 8,278 Disposed
Jan. 14, 2016 20171 RESTRICTED STOCK UNITS Common Shares (2,112) 2,112 Disposed
Jan. 14, 2016 20171 RESTRICTED STOCK UNITS Common Shares (22,000) 22,000 Disposed
Dec. 17, 2015 20171 RESTRICTED STOCK UNITS [F2] Common Shares (4,388) 4,388 Acquired
Feb. 25, 2015 20171 RESTRICTED STOCK UNITS [F1] Common Shares (5,743) 5,743 Acquired
Feb. 22, 2015 20171 STOCK UNITS DEFERRED Common Shares (4,563) 4,563 Acquired
Feb. 22, 2015 20171 RESTRICTED STOCK UNITS [F2] Common Shares (5,833) 5,833 Disposed
Feb. 26, 2014 20171 RESTRICTED STOCK UNITS [F1] Common Shares (6,207) 6,207 Acquired
Feb. 23, 2014 20171 STOCK UNITS DEFERRED Common Shares (2,935) 2,935 Acquired
Feb. 23, 2014 20171 RESTRICTED STOCK UNITS [F1] Common Shares (4,952) 4,952 Disposed
Feb. 27, 2013 20171 RESTRICTED STOCK UNITS [F1] Common Shares (5,662) 5,662 Acquired
Feb. 24, 2013 20171 STOCK UNITS DEFERRED Common Shares (780) 780 Acquired
Feb. 24, 2013 20171 RESTRICTED STOCK UNITS [F1] Common Shares (3,432) 3,432 Disposed
Feb. 25, 2012 20171 RESTRICTED STOCK UNITS [F1] Common Shares (3,406) 3,406 Disposed
Feb. 22, 2012 20171 RESTRICTED STOCK UNITS [F1] Common Shares (5,833) 5,833 Acquired
May 12, 2011 20171 STOCK OPTION [F3] Common Shares (17,840) $41.60 March 6, 2013 17,840 Disposed
May 12, 2011 20171 STOCK OPTION [F3] Common Shares (7,842) $36.84 March 7, 2012 7,842 Disposed
May 12, 2011 20171 STOCK OPTION [F3] Common Shares (7,840) $36.84 March 7, 2012 7,840 Disposed
March 12, 2011 20171 RESTRICTED STOCK UNITS [F1] Common Shares (2,355) 2,355 Disposed
Feb. 23, 2011 20171 RESTRICTED STOCK UNITS [F1] Common Shares (4,952) 4,952 Acquired
Nov. 16, 2010 20171 STOCK OPTION [F2] Common Shares (13,295) $52.73 March 1, 2011 13,295 Disposed
Feb. 24, 2010 20171 RESTRICTED STOCK UNITS [F1] Common (3,432) 3,432 Acquired
March 2, 2009 20171 RESTRICTED STOCK UNITS Common (2,204) 2,204 Disposed
Feb. 25, 2009 20171 RESTRICTED STOCK UNITS [F1] Common (3,406) 3,406 Acquired
May 7, 2008 20171 STOCK OPTION [F1] Common (23,100) $52.02 Nov. 10, 2009 23,100 Disposed
May 7, 2008 20171 STOCK OPTION [F1] Common (2,104) $47.50 March 10, 2009 2,104 Disposed
March 12, 2008 20171 RESTRICTED STOCK UNITS 2008 [F1] COMMON (2,355) 2,355 Acquired
March 3, 2008 20171 RESTRICTED STOCK UNIT 2005 COMMON (2,530) 2,530 Disposed
Feb. 6, 2008 20171 PERFORMANCE SHARES 2005 COMMON (15,188) Dec. 31, 2007 15,188 Disposed
April 27, 2007 20171 RESTRICTED STOCK UNIT 2004 COMMON (2,856) 2,856 Disposed
March 1, 2007 20171 RESTRICTED STOCK UNIT 2007 [F1] COMMON (2,112) 2,112 Acquired
Feb. 9, 2007 20171 STOCK OPTION [F1] COMMON (1,896) $52.73 March 1, 2011 1,896 Acquired
Feb. 9, 2007 20171 STOCK OPTION [F1] COMMON (11,399) $52.73 March 1, 2011 11,399 Acquired
Feb. 9, 2007 20171 STOCK OPTION [F1] COMMON (2,822) $35.43 March 1, 2011 2,822 Disposed
Feb. 9, 2007 20171 STOCK OPTION [F1] COMMON (14,522) $35.43 March 1, 2011 14,522 Disposed
Feb. 9, 2007 20171 STOCK OPTION [F1] COMMON (2,532) $39.48 March 4, 2008 2,532 Disposed
Feb. 9, 2007 20171 STOCK OPTION [F1] COMMON (8,868) $39.48 March 4, 2008 8,868 Disposed
Feb. 6, 2007 20171 PERFORMANCE SHARES 2004 COMMON (17,144) Dec. 31, 2006 17,144 Disposed
May 11, 2006 20171 STOCK OPTION [F1] COMMON (13,663) $52.02 March 2, 2010 13,663 Acquired
May 11, 2006 20171 STOCK OPTION [F1] COMMON (15,506) $23.98 March 2, 2010 15,506 Disposed
May 11, 2006 20171 STOCK OPTION [F1] COMMON (6,252) $23.98 March 2, 2010 6,252 Disposed
May 11, 2006 20171 STOCK OPTION [F1] COMMON (23,100) $52.02 Nov. 10, 2009 23,100 Acquired
May 11, 2006 20171 STOCK OPTION [F1] COMMON (7,720) $28.84 Nov. 10, 2009 7,720 Disposed
May 11, 2006 20171 STOCK OPTION [F1] COMMON (23,160) $28.84 Nov. 10, 2009 23,160 Disposed
March 2, 2006 20171 RESTRICTED STOCK UNIT 2006 [F1] COMMON (1,102) 1,102 Acquired
Feb. 3, 2006 20171 STOCK OPTION [F1] COMMON (1,052) $95.00 March 10, 2009 1,052 Acquired
Feb. 3, 2006 20171 STOCK OPTION [F1] COMMON (6,686) $59.78 March 10, 2009 6,686 Disposed
Feb. 3, 2006 20171 STOCK OPTION [F1] COMMON (1,672) $59.78 March 10, 2009 1,672 Disposed
Feb. 3, 2006 20171 STOCK OPTION [F1] COMMON (4,355) $60.75 March 5, 2007 4,355 Disposed
Feb. 3, 2006 20171 STOCK OPTION [F1] COMMON (1,645) $60.75 March 5, 2007 1,645 Disposed
May 5, 2005 20171 STOCK OPTION [F1] COMMON (8,920) $83.20 March 6, 2013 8,920 Acquired
May 5, 2005 20171 STOCK OPTION [F1] COMMON (5,966) $46.05 March 6, 2013 5,966 Disposed
May 5, 2005 20171 STOCK OPTION [F1] COMMON (5,967) $46.05 March 6, 2013 5,967 Disposed
March 3, 2005 20171 RESTRICTED STOCK UNIT 2005 [F3] COMMON (1,265) 1,265 Acquired
March 3, 2005 20171 PERFORMANCE SHARES 2005 [F2] COMMON (7,594) 7,594 Acquired
March 3, 2005 20171 PERFORMANCE SHARES COMMON (5,090) March 31, 2005 5,090 Disposed
Feb. 9, 2005 20171 STOCK OPTION [F1] COMMON (750) $48.75 Aug. 5, 2006 750 Disposed
Feb. 9, 2005 20171 STOCK OPTION [F1] COMMON (1,698) $48.75 Feb. 27, 2006 1,698 Disposed
Feb. 8, 2005 20171 STOCK OPTION [F1] COMMON (2,052) $48.75 Feb. 27, 2006 2,052 Disposed
April 27, 2004 20171 RESTRICTED STOCK UNIT [F2] COMMON (1,428) 1,428 Acquired
April 27, 2004 20171 PERFORMANCE SHARE [F1] COMMON (8,572) 8,572 Acquired
March 4, 2004 20171 PERFORMANCE SHARES COMMON (3,705) $0.00 March 31, 2004 3,705 Disposed
Feb. 6, 2004 20171 STOCK OPTION [F1] COMMON (2,364) $41.03 June 8, 2005 2,364 Disposed
Feb. 6, 2004 20171 STOCK OPTION [F1] COMMON (2,436) $41.03 June 8, 2005 2,436 Disposed
Feb. 6, 2004 20171 STOCK OPTION [F1] COMMON (760) $40.97 June 8, 2004 760 Disposed
June 9, 2003 20171 STOCK OPTION [F1] COMMON (1,532) $65.31 June 9, 2003 1,532 Disposed
March 7, 2002 20171 PERFORMANCE SHARE COMMON (3,387) $0.00 Aug. 8, 1988 3,387 Disposed

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

Initial ownership (Form 3) 11 holdings

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

Date Ticker Security Shares Ownership
Feb. 25, 2016 CB Common Shares 38,524 Direct
Feb. 25, 2016 CB Common Shares 4,393 Indirect
Feb. 25, 2016 CB Deferred Stock Units→ Common Shares (12,156) 12,156 Direct
Feb. 25, 2016 CB Restricted Stock Units→ Common Shares (6,624) 6,624 Direct
Feb. 25, 2016 CB Restricted Stock Units→ Common Shares (7,262) 7,262 Direct
Feb. 25, 2016 CB Restricted Stock Units→ Common Shares (6,719) 6,719 Direct
Feb. 25, 2016 CB Restricted Stock Units→ Common Shares (5,134) 5,134 Direct
Feb. 25, 2016 CB Performance Units→ Common Shares (21,788) 21,788 Direct
Feb. 25, 2016 CB Performance Units→ Common Shares (20,156) 20,156 Direct
Feb. 25, 2016 CB Performance Units→ Common Shares (15,404) 15,404 Direct
Feb. 25, 2016 CB ESOP Excess Benefit Plan Rights→ Common Shares Direct