Peter Thiel

CIK 1211060 · View on SEC EDGAR ↗

Activist

First SEC filing: Nov. 12, 2025 · Latest: Nov. 12, 2025

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Insider at

Insider transactions

0 buys (P) 7 sells (S) Net: $-289,713,383 + 65 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

65 other filings hidden
Date Ticker Code Shares Price Value Owned after Δ own A/D vs now
March 2, 2026 PLTR S 10b5-1 51,383 $146.80 $7,543,024 13,733,625 Indirect -0.37% Disposed 16.5% (price as of 2026-08-19)
March 2, 2026 PLTR S 10b5-1 488,783 $146.14 $71,430,748 13,785,008 Indirect -3.42% Disposed 17.1% (price as of 2026-08-19)
March 2, 2026 PLTR S 10b5-1 721,136 $145.17 $104,687,313 14,273,791 Indirect -4.81% Disposed 17.9% (price as of 2026-08-19)
March 2, 2026 PLTR S 10b5-1 419,113 $144.18 $60,427,712 14,994,927 Indirect -2.72% Disposed 18.7% (price as of 2026-08-19)
March 2, 2026 PLTR S 10b5-1 222,837 $143.28 $31,928,085 15,414,040 Indirect -1.43% Disposed 19.4% (price as of 2026-08-19)
March 2, 2026 PLTR S 10b5-1 46,722 $142.21 $6,644,336 15,636,877 Indirect -0.30% Disposed 20.3% (price as of 2026-08-19)
March 2, 2026 PLTR S 10b5-1 50,026 $140.97 $7,052,165 15,683,599 Indirect -0.32% Disposed 21.4% (price as of 2026-08-19)
Oct. 1, 2024 PLTR S 10b5-1 3,350,229 $36.54 $122,417,368 35,152,222 Indirect -8.70% Disposed 368.2% (price as of 2026-08-19)
Oct. 1, 2024 PLTR S 10b5-1 891,771 $37.27 $33,236,305 34,260,451 Indirect -2.54% Disposed 359.1% (price as of 2026-08-19)
Sept. 30, 2024 PLTR S 10b5-1 3,144,945 $36.81 $115,765,425 39,538,624 Indirect -7.37% Disposed 364.8% (price as of 2026-08-19)
Sept. 30, 2024 PLTR S 10b5-1 1,036,173 $37.21 $38,555,997 38,502,451 Indirect -2.62% Disposed 359.8% (price as of 2026-08-19)
Sept. 27, 2024 PLTR S 10b5-1 3,989,204 $36.94 $147,361,196 42,683,569 Indirect -8.55% Disposed 363.2% (price as of 2026-08-19)
Sept. 26, 2024 PLTR S 10b5-1 4,561,502 $37.07 $169,094,879 46,672,773 Indirect -8.90% Disposed 361.5% (price as of 2026-08-19)
Sept. 25, 2024 PLTR S 10b5-1 4,254,666 $36.77 $156,444,069 51,234,275 Indirect -7.67% Disposed 365.3% (price as of 2026-08-19)
Sept. 24, 2024 PLTR S 10b5-1 7,214,637 $36.86 $265,931,520 55,636,551 Indirect -11.48% Disposed 364.2% (price as of 2026-08-19)
Sept. 24, 2024 PLTR S 10b5-1 147,610 $37.65 $5,557,516 55,488,941 Indirect -0.27% Disposed 354.4% (price as of 2026-08-19)
Aug. 13, 2021 PLTR S 10b5-1 3,262 $25.00 $81,550 0 Indirect -100.00% Disposed 584.4% (price as of 2026-08-19)
March 16, 2021 CMMB P 23,054 23,054 Indirect Acquired (price as of 2026-08-19)
March 16, 2021 CMMB P 230,536 1,108,509 Indirect +26.26% Acquired (price as of 2026-08-19)
Feb. 18, 2021 PLTR S 10b5-1 15,653,541 $25.06 $392,277,737 82,197,647 Indirect -16.00% Disposed 582.7% (price as of 2026-08-19)
Feb. 18, 2021 PLTR S 10b5-1 4,346,459 $25.87 $112,442,894 77,851,188 Indirect -5.29% Disposed 561.3% (price as of 2026-08-19)
Feb. 18, 2021 PLTR S 10b5-1 3,315 $25.10 $83,206 600 Indirect -84.67% Disposed 581.6% (price as of 2026-08-19)
Feb. 18, 2021 PLTR S 10b5-1 600 $25.93 $15,558 0 Indirect -100.00% Disposed 559.8% (price as of 2026-08-19)
Dec. 15, 2020 ABCL P 3,000,000 $20.00 $60,000,000 10,179,880 Indirect +41.78% Acquired -41.1% (price as of 2026-08-19)
Oct. 2, 2020 PLTR S 908 $9.14 $8,299 24 Indirect -97.42% Disposed 1771.9% (price as of 2026-08-19)
Sept. 30, 2020 PLTR S 5 $11.19 $56 932 Indirect -0.53% Disposed 1429.0% (price as of 2026-08-19)
Sept. 30, 2020 PLTR S 65 $10.34 $672 937 Indirect -6.49% Disposed 1554.6% (price as of 2026-08-19)
Sept. 30, 2020 PLTR S 17,756 $11.19 $198,690 0 Indirect -100.00% Disposed 1429.0% (price as of 2026-08-19)
Sept. 30, 2020 PLTR S 218,992 $10.34 $2,264,377 3,071,224 Indirect -6.66% Disposed 1554.6% (price as of 2026-08-19)
Sept. 30, 2020 PLTR S 5,699 $11.19 $63,772 0 Indirect -100.00% Disposed 1429.0% (price as of 2026-08-19)
Sept. 30, 2020 PLTR S 70,297 $10.34 $726,871 985,875 Indirect -6.66% Disposed 1554.6% (price as of 2026-08-19)
Sept. 30, 2020 PLTR S 43,460 $11.19 $486,317 91 Indirect -99.79% Disposed 1429.0% (price as of 2026-08-19)
Sept. 30, 2020 PLTR S 536,002 $10.34 $5,542,261 7,517,193 Indirect -6.66% Disposed 1554.6% (price as of 2026-08-19)
Sept. 30, 2020 PLTR S 15,436 $11.19 $172,729 33 Indirect -99.79% Disposed 1429.0% (price as of 2026-08-19)
Sept. 30, 2020 PLTR S 190,372 $10.34 $1,968,446 2,669,889 Indirect -6.66% Disposed 1554.6% (price as of 2026-08-19)

Showing latest 100 of 277 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
Nov. 14, 2023 PLTR Class B Common Stock [F2] Class A Common Stock (3,330,804) 3,330,804 Disposed
May 15, 2022 META Restricted Stock Units (RSU) (Class A) Class A Common Stock (946) 946 Disposed
June 28, 2021 PLTR Class B Common Stock Warrant (Right to buy) Class B Common Stock [F14] (4,502,447) $6.13 Nov. 20, 2022 4,502,447 Disposed
June 28, 2021 PLTR Class B Common Stock [F14] Class A Common Stock (4,502,447) 4,502,447 Acquired
June 28, 2021 PLTR Class B Common Stock [F14] Class A Common Stock (1,171,643) 1,171,643 Disposed
June 15, 2021 META Restricted Stock Units (RSU) (Class A) Class A Common Stock (946) 946 Acquired
May 15, 2021 META Restricted Stock Units (RSU) (Class A) Class A Common Stock (1,386) 1,386 Disposed
May 11, 2021 PLTR Class B Common Stock (2) Class A Common Stock (125,599) 125,599 Disposed
May 11, 2021 PLTR Class B Common Stock (2) Class A Common Stock (391,269) 391,269 Disposed
May 11, 2021 PLTR Class B Common Stock (2) Class A Common Stock (46,602) 46,602 Disposed
May 11, 2021 PLTR Class B Common Stock (2) Class A Common Stock (172,201) 172,201 Acquired
May 11, 2021 PLTR Class B Common Stock (2) Class A Common Stock (145,176) 145,176 Disposed
May 11, 2021 PLTR Class B Common Stock (2) Class A Common Stock (536,445) 536,445 Acquired
May 11, 2021 PLTR Class B Common Stock Warrant (Right to buy) Class B Common Stock (2) (172,201) $6.13 Jan. 1, 2025 172,201 Disposed
May 11, 2021 PLTR Class B Common Stock Warrant (Right to buy) Class B Common Stock (2) (536,445) $6.13 Jan. 1, 2025 536,445 Disposed
May 5, 2021 PLTR Class B Common Stock [F2] Class A Common Stock (3,262) 3,262 Disposed
May 5, 2021 PLTR Class B Common Stock [F2] Class A Common Stock (3,262) 3,262 Acquired
March 16, 2021 CMMB American Depositary Shares Purchase Warrant American Depositary Shares $17.35 March 17, 2026 23,054 Acquired
Feb. 17, 2021 PLTR Class B Common Stock Class A Common Stock (6,944,440) 6,944,440 Disposed
Feb. 17, 2021 PLTR Class B Common Stock Class A Common Stock (39,422,431) 39,422,431 Disposed
Feb. 17, 2021 PLTR Class B Common Stock Class A Common Stock (1,191,775) 1,191,775 Disposed
Feb. 17, 2021 PLTR Class B Common Stock Class A Common Stock (1,949,413) 1,949,413 Disposed
Feb. 17, 2021 PLTR Class B Common Stock Class A Common Stock (32,212,328) 32,212,328 Disposed
Feb. 17, 2021 PLTR Class B Common Stock Class A Common Stock (588,414) 588,414 Disposed
Feb. 17, 2021 PLTR Class B Common Stock Class A Common Stock (11,440,882) 11,440,882 Disposed
Feb. 17, 2021 PLTR Class B Common Stock Class A Common Stock (13,160,866) 13,160,866 Disposed
Feb. 17, 2021 PLTR Class B Common Stock Class A Common Stock (4,224,690) 4,224,690 Disposed
Feb. 17, 2021 PLTR Class B Common Stock Class A Common Stock (3,891) 3,891 Disposed
Dec. 15, 2020 ABCL Convertible Note Common Shares (24,660) Disposed
Dec. 15, 2020 ABCL Convertible Note Common Shares (382,357) Disposed
Dec. 15, 2020 ABCL Convertible Note Common Shares (2,477,100) Disposed
Dec. 15, 2020 ABCL Series A2 Preferred Shares Common Shares (29,240) 2,924 Disposed
Dec. 15, 2020 ABCL Series A2 Preferred Shares Common Shares (401,050) 40,105 Disposed
Dec. 15, 2020 ABCL Series A2 Preferred Shares Common Shares (3,343,240) 334,324 Disposed
Dec. 15, 2020 ABCL Series A2 Preferred Shares Common Shares (3,811,260) 381,126 Disposed
Dec. 11, 2020 ABCL Convertible Note Common Shares (24,660) Acquired
Dec. 11, 2020 ABCL Convertible Note Common Shares (382,357) Acquired
Dec. 11, 2020 ABCL Convertible Note Common Shares (2,477,100) Acquired
Nov. 30, 2020 PLTR Class B Common Stock Class A Common Stock (14,487,124) 14,487,124 Disposed
Oct. 2, 2020 PLTR Class B Common Stock Class A Common Stock (96,116,105) 96,116,105 Disposed
June 15, 2020 META Restricted Stock Units (RSU) (Class A) Class A Common Stock (1,386) 1,386 Acquired
May 15, 2020 META Restricted Stock Units (RSU) (Class A) Class A Common Stock (1,613) 1,613 Disposed
Aug. 22, 2019 META Class B Common Stock [F15] Class A Common Stock (5,406) 5,406 Disposed
Aug. 22, 2019 META Class B Common Stock [F15] Class A Common Stock (16,840) 16,840 Disposed
June 17, 2019 META Restricted Stock Units (RSU) (Class A) Class A Common Stock (1,613) 1,613 Acquired
May 17, 2019 META Class B Common Stock [F1] Class A Common Stock (7,958) 7,958 Disposed
May 17, 2019 META Class B Common Stock [F1] Class A Common Stock (24,791) 24,791 Disposed
May 15, 2019 META Restricted Stock Units (RSU) (Class A) Class A Common Stock (1,640) 1,640 Disposed
June 15, 2018 META Restricted Stock Units (RSU) (Class A) Class A Common Stock (1,640) 1,640 Acquired
May 15, 2018 META Restricted Stock Units (RSU) (Class A) Class A Common Stock (1,997) June 14, 2027 1,997 Disposed
July 28, 2017 META Class B Common Stock [F10] Class A Common Stock (14,657) 14,657 Disposed
July 28, 2017 META Class B Common Stock [F10] Class A Common Stock (45,659) 45,659 Disposed
July 19, 2017 META Class B Common Stock [F1] Class A Common Stock (14,657) 14,657 Acquired
July 19, 2017 META Class B Common Stock [F1] Class A Common Stock (45,659) 45,659 Acquired
June 15, 2017 META Restricted Stock Units (RSU) (Class A) Class A Common Stock (1,997) June 14, 2027 1,997 Acquired
May 15, 2017 META Restricted Stock Units (RSU) (Class A) Class A Common Stock (2,533) July 14, 2026 2,533 Disposed
Nov. 22, 2016 META Class B Common Stock [F7] Class A Common Stock (4,885) 4,885 Disposed
Nov. 22, 2016 META Class B Common Stock [F7] Class A Common Stock (15,219) 15,219 Disposed
July 15, 2016 META Restricted Stock Units (RSU) (Class A) Class A Common Stock (2,533) July 14, 2026 2,533 Acquired
June 30, 2016 META Class B Common Stock [F1] Class A Common Stock (4,885) 4,885 Acquired
June 30, 2016 META Class B Common Stock [F1] Class A Common Stock (15,219) 15,219 Acquired
May 15, 2016 META Restricted Stock Units (RSU) (Class A) Class A Common Stock (3,778) June 14, 2025 3,778 Disposed
June 15, 2015 META Restricted Stock Units (RSU) (Class A) Class A Common Stock (3,778) June 14, 2025 3,778 Acquired
May 15, 2015 META Restricted Stock Units (RSU) (Class A) Class A Common Stock (4,993) May 14, 2024 4,993 Disposed
July 24, 2014 META Class B Common Stock [F12] Class A Common Stock [F13] (120,273) 120,273 Disposed
July 24, 2014 META Class B Common Stock [F12] Class A Common Stock [F13] (374,677) 374,677 Disposed
July 24, 2014 META Class B Common Stock [F11] Class A Common Stock [F12] (120,273) 120,273 Disposed
July 24, 2014 META Class B Common Stock [F11] Class A Common Stock [F12] (374,677) 374,677 Disposed
July 21, 2014 META Class B Common Stock [F1] Class A Common Stock (133,637) 133,637 Acquired
July 21, 2014 META Class B Common Stock [F1] Class A Common Stock (416,308) 416,308 Acquired
June 16, 2014 META Restricted Stock Unit (RSU) Class A Common Stock (4,993) May 14, 2024 4,993 Acquired
May 15, 2014 META Restricted Stock Unit (RSU) Class A Common Stock (7,742) May 14, 2023 7,742 Disposed
Nov. 5, 2013 META Restricted Stock Unit (RSU) Class A Common Stock (7,742) May 14, 2023 7,742 Acquired
Aug. 8, 2012 META Class B Common Stock [F7] Class A Common Stock [F8] (5,070,290) 5,070,290 Disposed
Aug. 8, 2012 META Class B Common Stock [F7] Class A Common Stock [F8] (22,400) 22,400 Disposed
Aug. 8, 2012 META Class B Common Stock [F7] Class A Common Stock [F8] (36,640) 36,640 Disposed
Aug. 8, 2012 META Class B Common Stock [F7] Class A Common Stock [F8] (740,960) 740,960 Disposed
Aug. 8, 2012 META Class B Common Stock [F7] Class A Common Stock [F8] (3,427,594) 3,427,594 Disposed
May 22, 2012 META Class B Common Stock [F4] Class A Common Stock [F7] (2,550,546) 2,550,546 Disposed
May 22, 2012 META Class B Common Stock [F4] Class A Common Stock (5,866,256) 5,866,256 Acquired
May 22, 2012 META Series C Convertible Preferred Stock [F6] Class B Common Stock [F4] (5,866,256) 5,837,600 Disposed
May 22, 2012 META Class B Common Stock [F4] Class A Common Stock [F5] (32,875,670) 32,875,670 Disposed
May 22, 2012 META Class B Common Stock [F4] Class A Common Stock (32,875,670) 32,875,670 Acquired
May 22, 2012 META Series A Convertible Preferred Stock [F3] Class B Common Stock [F4] (32,875,670) 32,875,670 Disposed

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

Initial ownership (Form 3) 54 holdings

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

Date Ticker Security Shares Ownership
March 18, 2021 CMMB American Depositary Shares Indirect
Dec. 11, 2020 ABCL Common Shares 891,520 Indirect
Dec. 11, 2020 ABCL Series A2 Preferred Shares→ Common Shares (3,811,260) 3,811,260 Indirect
Dec. 11, 2020 ABCL Series A2 Preferred Shares→ Common Shares (3,343,240) 3,343,240 Indirect
Dec. 11, 2020 ABCL Series A2 Preferred Shares→ Common Shares (401,050) 401,050 Indirect
Dec. 11, 2020 ABCL Series A2 Preferred Shares→ Common Shares (29,240) 29,240 Indirect
Dec. 11, 2020 ABCL Convertible Note→ Common Shares (2,477,100) 2,477,100 Indirect
Dec. 11, 2020 ABCL Convertible Note→ Common Shares (382,357) 382,357 Indirect
Dec. 11, 2020 ABCL Convertible Note→ Common Shares (24,660) 24,660 Indirect
Sept. 22, 2020 PLTR Class A Common Stock 3,257,826 Direct
Sept. 22, 2020 PLTR Class A Common Stock 641,400 Indirect
Sept. 22, 2020 PLTR Class A Common Stock 1,954,631 Indirect
Sept. 22, 2020 PLTR Class A Common Stock 687,512 Indirect
Sept. 22, 2020 PLTR Class A Common Stock 24,029,026 Indirect
Sept. 22, 2020 PLTR Class A Common Stock 740,740 Indirect
Sept. 22, 2020 PLTR Class A Common Stock 1,736,110 Indirect
Sept. 22, 2020 PLTR Class A Common Stock 9,903,394 Indirect
Sept. 22, 2020 PLTR Class A Common Stock 299,389 Indirect
Sept. 22, 2020 PLTR Class A Common Stock 489,716 Indirect
Sept. 22, 2020 PLTR Class A Common Stock 8,053,195 Indirect
Sept. 22, 2020 PLTR Class A Common Stock 147,106 Indirect
Sept. 22, 2020 PLTR Class A Common Stock 2,860,261 Indirect
Sept. 22, 2020 PLTR Class A Common Stock 3,290,216 Indirect
Sept. 22, 2020 PLTR Class A Common Stock 1,056,172 Indirect
Sept. 22, 2020 PLTR Class A Common Stock 1,002 Indirect
Sept. 22, 2020 PLTR Class A Common Stock 43,296 Indirect
Sept. 22, 2020 PLTR Class B Common Stock→ Class A Common Stock (13,031,306) 13,031,306 Direct
Sept. 22, 2020 PLTR Class B Common Stock→ Class A Common Stock (2,565,601) 2,565,601 Indirect
Sept. 22, 2020 PLTR Class B Common Stock→ Class A Common Stock (7,818,526) 7,818,526 Indirect
Sept. 22, 2020 PLTR Class B Common Stock→ Class A Common Stock (2,750,050) 2,750,050 Indirect
Sept. 22, 2020 PLTR Class B Common Stock→ Class A Common Stock (96,116,105) 96,116,105 Indirect
Sept. 22, 2020 PLTR Class B Common Stock→ Class A Common Stock (2,962,961) 2,962,961 Indirect
Sept. 22, 2020 PLTR Class B Common Stock→ Class A Common Stock (6,944,440) 6,944,440 Indirect
Sept. 22, 2020 PLTR Class B Common Stock→ Class A Common Stock (39,422,431) 39,422,431 Indirect
Sept. 22, 2020 PLTR Class B Common Stock→ Class A Common Stock (1,191,775) 1,191,775 Indirect
Sept. 22, 2020 PLTR Class B Common Stock→ Class A Common Stock (1,949,413) 1,949,413 Indirect
Sept. 22, 2020 PLTR Class B Common Stock→ Class A Common Stock (32,212,328) 32,212,328 Indirect
Sept. 22, 2020 PLTR Class B Common Stock→ Class A Common Stock (588,414) 588,414 Indirect
Sept. 22, 2020 PLTR Class B Common Stock→ Class A Common Stock (11,440,882) 11,440,882 Indirect
Sept. 22, 2020 PLTR Class B Common Stock→ Class A Common Stock (13,160,866) 13,160,866 Indirect
Sept. 22, 2020 PLTR Class B Common Stock→ Class A Common Stock (4,224,690) 4,224,690 Indirect
Sept. 22, 2020 PLTR Class B Common Stock→ Class A Common Stock (3,891) 3,891 Indirect
Sept. 22, 2020 PLTR Class B Common Stock→ Class A Common Stock (14,487,124) 14,487,124 Indirect
Sept. 22, 2020 PLTR Class F Common Stock→ Class B Common Stock [F17] (335,000) 335,000 Indirect
Sept. 22, 2020 PLTR Class B Common Stock Warrant (Right to buy)→ Class B Common Stock [F17] (4,502,447) 4,502,447 Indirect
Sept. 22, 2020 PLTR Class B Common Stock Warrant (Right to buy)→ Class B Common Stock [F17] (536,445) 536,445 Indirect
Sept. 22, 2020 PLTR Class B Common Stock Warrant (Right to buy)→ Class B Common Stock [F17] (172,201) 172,201 Indirect
May 17, 2012 META Series A Convertible Preferred Stock [F1]→ Class B Common Stock [F2] (32,875,670) 32,875,670 Indirect
May 17, 2012 META Class B Common Stock [F2]→ Class A Common Stock (111,884) 111,884 Indirect
May 17, 2012 META Series C Convertible Preferred Stock [F5]→ Class B Common Stock [F2] (5,866,256) 5,866,256 Indirect