Insider at

04

Insider transactions

05
0 buys (P) 1 sells (S) Net: $-437,390 + 59 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

59 other filings hidden
DateTickerCodeSharesPriceValue Owned afterΔ ownA/Dvs now
Jan. 16, 2026 COST S 458 $955.00 $437,390 8,532 Direct -5.09% Disposed -2.0% (price as of 2026-10-06)
June 18, 2025 COST S 1 $978.40 $978 11,531 Direct -0.01% Disposed -4.4% (price as of 2026-10-06)
June 18, 2025 COST S 546 $980.00 $535,080 11,532 Direct -4.52% Disposed -4.5% (price as of 2026-10-06)
Aug. 15, 2024 COST S 620 $876.50 $543,430 11,775 Direct -5.00% Disposed 6.8% (price as of 2026-10-06)
Feb. 9, 2024 COST S 1,442 $723.48 $1,043,258 12,395 Direct -10.42% Disposed 29.3% (price as of 2026-10-06)
June 28, 2023 COST S 1,565 $533.00 $834,145 13,329 Direct -10.51% Disposed 75.5% (price as of 2026-10-06)
June 7, 2023 COST S 1,445 $517.50 $747,788 14,894 Direct -8.84% Disposed 80.8% (price as of 2026-10-06)
June 7, 2023 COST S 519 $513.00 $266,247 16,339 Direct -3.08% Disposed 82.4% (price as of 2026-10-06)
June 7, 2023 COST S 2,007 $512.02 $1,027,624 16,858 Direct -10.64% Disposed 82.7% (price as of 2026-10-06)
Dec. 12, 2022 COST S 952 $483.00 $459,816 18,920 Direct -4.79% Disposed 93.7% (price as of 2026-10-06)
Jan. 27, 2021 COST S 301 $362.50 $109,112 18,746 Direct -1.58% Disposed 158.1% (price as of 2026-10-06)
Jan. 27, 2021 COST S 393 $364.00 $143,052 19,047 Direct -2.02% Disposed 157.1% (price as of 2026-10-06)
Jan. 13, 2021 COST S 560 $368.00 $206,080 19,440 Direct -2.80% Disposed 154.3% (price as of 2026-10-06)
Jan. 13, 2021 COST S 100 $365.18 $36,518 20,000 Direct -0.50% Disposed 156.2% (price as of 2026-10-06)
Jan. 13, 2021 COST S 539 $365.15 $196,816 20,100 Direct -2.61% Disposed 156.2% (price as of 2026-10-06)
Dec. 30, 2020 COST S 861 $375.75 $323,521 20,639 Direct -4.00% Disposed 149.0% (price as of 2026-10-06)
Dec. 21, 2020 COST S 1,000 $362.59 $362,590 21,500 Direct -4.44% Disposed 158.1% (price as of 2026-10-06)
Sept. 28, 2020 COST S 2,500 $347.90 $869,750 21,747 Direct -10.31% Disposed 169.0% (price as of 2026-10-06)
Aug. 14, 2020 COST S 1,250 $338.00 $422,500 24,247 Direct -4.90% Disposed 176.8% (price as of 2026-10-06)
Aug. 13, 2020 COST S 1,250 $335.84 $419,800 25,497 Direct -4.67% Disposed 178.6% (price as of 2026-10-06)
July 13, 2020 COST S 1,000 $326.50 $326,500 26,747 Direct -3.60% Disposed 186.6% (price as of 2026-10-06)
July 13, 2020 COST S 1,000 $326.70 $326,700 27,747 Direct -3.48% Disposed 186.4% (price as of 2026-10-06)
July 2, 2020 COST S 685 $308.50 $211,322 28,747 Direct -2.33% Disposed 203.3% (price as of 2026-10-06)
July 1, 2020 COST S 1,155 $302.57 $349,468 29,432 Direct -3.78% Disposed 209.2% (price as of 2026-10-06)
June 5, 2020 COST S 1,995 $312.00 $622,440 30,587 Direct -6.12% Disposed 199.9% (price as of 2026-10-06)
April 20, 2020 COST S 1,000 $314.83 $314,830 32,582 Direct -2.98% Disposed 197.2% (price as of 2026-10-06)
March 20, 2020 COST S 1,000 $297.00 $297,000 33,582 Direct -2.89% Disposed 215.0% (price as of 2026-10-06)
Jan. 14, 2020 COST S 3,850 $300.41 $1,156,578 34,582 Direct -10.02% Disposed 211.5% (price as of 2026-10-06)
Nov. 15, 2019 COST S 1,703 $303.01 $516,026 38,432 Direct -4.24% Disposed 208.8% (price as of 2026-10-06)
Oct. 18, 2019 COST S 1,228 $303.05 $372,145 39,234 Direct -3.03% Disposed 208.8% (price as of 2026-10-06)
Oct. 17, 2019 COST S 1,008 $302.50 $304,920 40,462 Direct -2.43% Disposed 209.3% (price as of 2026-10-06)
Oct. 11, 2019 COST S 333 $297.50 $99,068 41,470 Direct -0.80% Disposed 214.5% (price as of 2026-10-06)
July 3, 2019 COST S 1,646 $268.25 $441,540 41,803 Direct -3.79% Disposed 248.8% (price as of 2026-10-06)
June 7, 2019 COST S 834 $256.00 $213,504 43,449 Direct -1.88% Disposed 265.5% (price as of 2026-10-06)
June 7, 2019 COST S 1,122 $254.04 $285,033 44,283 Direct -2.47% Disposed 268.3% (price as of 2026-10-06)
June 7, 2019 COST S 834 $254.03 $211,861 45,405 Direct -1.80% Disposed 268.3% (price as of 2026-10-06)
March 26, 2019 COST S 2,350 $240.00 $564,000 46,239 Direct -4.84% Disposed 289.9% (price as of 2026-10-06)
March 12, 2019 COST S 2,049 $232.00 $475,368 48,589 Direct -4.05% Disposed 303.3% (price as of 2026-10-06)
Jan. 4, 2019 COST S 751 $205.75 $154,518 50,638 Direct -1.46% Disposed 354.8% (price as of 2026-10-06)
Jan. 4, 2019 COST S 860 $206.50 $177,590 51,389 Direct -1.65% Disposed 353.1% (price as of 2026-10-06)
Jan. 2, 2019 COST S 739 $205.00 $151,495 52,249 Direct -1.39% Disposed 356.4% (price as of 2026-10-06)

Showing latest 100 of 212 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. 30, 2026 MTN Restricted Share Unit Common Stock (1,563) $0.00 · 1,563 Disposed
Sept. 30, 2025 MTN Restricted Share Unit Common Stock (1,563) $0.00 · 1,563 Acquired
Sept. 27, 2025 MTN Restricted Share Unit Common Stock (1,281) $0.00 · 1,281 Disposed
Sept. 29, 2024 MTN Restricted Share Unit Common Stock (1,031) $0.00 · 1,031 Disposed
Sept. 27, 2024 MTN Restricted Share Unit Common Stock (1,281) $0.00 · 1,281 Acquired
Sept. 29, 2023 MTN Restricted Share Unit Common Stock (1,031) $0.00 · 1,031 Acquired
Sept. 29, 2023 MTN Restricted Share Unit Common Stock (1,071) $0.00 · 1,071 Disposed
Sept. 29, 2022 MTN Restricted Share Unit Common Stock (1,071) $0.00 · 1,071 Acquired
Sept. 24, 2022 MTN Restricted Share Unit Common Stock (599) $0.00 · 599 Disposed
Sept. 25, 2021 MTN Restricted Share Unit Common Stock (922) $0.00 · 922 Disposed
Sept. 24, 2021 MTN Restricted Share Unit Common Stock (599) $0.00 · 599 Acquired
Sept. 25, 2020 MTN Restricted Share Unit Common Stock (922) $0.00 · 922 Acquired
Sept. 25, 2020 MTN Restricted Share Unit Common Stock (910) $0.00 · 910 Disposed
Sept. 27, 2019 MTN Restricted Share Unit Common Stock (743) $0.00 · 743 Disposed
Sept. 25, 2019 MTN Restricted Share Unit Common Stock (910) $0.00 · 910 Acquired
Sept. 27, 2018 MTN Restricted Share Unit Common Stock (743) $0.00 · 743 Acquired
Sept. 27, 2018 MTN Restricted Share Unit Common Stock (900) $0.00 · 900 Disposed
Sept. 27, 2017 MTN Restricted Share Unit Common Stock (900) $0.00 · 900 Acquired
Sept. 23, 2017 MTN Restricted Share Unit Common Stock (1,234) $0.00 · 1,234 Disposed
Sept. 25, 2016 MTN Restricted Share Unit Common Stock (1,788) $0.00 · 1,788 Disposed
Sept. 23, 2016 MTN Restricted Share Unit Common Stock (1,234) $0.00 · 1,234 Acquired
Jan. 23, 2016 INTC Restricted Stock Units Common Stock (999) · · 999 Disposed
Sept. 25, 2015 MTN Restricted Share Unit Common Stock (1,788) $0.00 · 1,788 Acquired
July 26, 2015 INTC Performance-based Restricted Stock Units Common Stock · · 3,023 Disposed
July 26, 2015 INTC Restricted Stock Units Common Stock (1,588) · · 1,588 Disposed
July 26, 2015 INTC Restricted Stock Units Common Stock (1,434) · · 1,434 Disposed
July 24, 2015 INTC Restricted Stock Units Common Stock (1,067) · · 1,067 Disposed
Jan. 23, 2015 INTC Restricted Stock Units Common Stock (2,995) · · 2,995 Acquired
Jan. 23, 2015 INTC Performance-based Restricted Stock Units Common Stock (2,220) · · 2,220 Acquired
July 26, 2014 INTC Restricted Stock Units Common Stock (1,589) · · 1,589 Disposed
July 26, 2014 INTC Restricted Stock Units Common Stock (1,433) · · 1,433 Disposed
July 24, 2014 INTC Performance-based Restricted Stock Units Common Stock · · 1,815 Acquired
July 24, 2014 INTC Restricted Stock Units Common Stock (3,200) · · 3,200 Acquired
July 22, 2014 INTC Performance-based Restricted Stock Units Common Stock · · 3,104 Disposed
July 22, 2014 INTC Restricted Stock Units Common Stock (1,485) · · 1,485 Disposed
July 26, 2013 INTC Performance-based Restricted Stock Units Common Stock · · 4,190 Acquired
July 26, 2013 INTC Restricted Stock Units Common Stock (4,765) · · 4,765 Acquired
July 26, 2013 INTC Restricted Stock Units Common Stock (1,433) · · 1,433 Disposed
July 22, 2013 INTC Performance-based Restricted Stock Units Common Stock · · 3,080 Disposed
July 22, 2013 INTC Restricted Stock Units Common Stock (1,485) · · 1,485 Disposed
July 22, 2013 INTC Restricted Stock Units Common Stock (1,577) · · 1,577 Disposed
July 22, 2013 INTC Restricted Stock Units Common Stock (6,667) · · 6,667 Disposed
Dec. 12, 2012 COST Stock Option Common Stock (6,457) · April 1, 2015 6,457 Acquired
Dec. 12, 2012 COST Stock Option Common Stock (3,228) · Oct. 25, 2014 3,228 Acquired
Oct. 15, 2012 COST Stock Option Common Stock (3,000) $45.99 Oct. 25, 2014 3,000 Disposed
Oct. 15, 2012 COST Stock Option Common Stock (6,000) $43.79 April 1, 2015 6,000 Disposed
Aug. 16, 2012 INTC Performance-based Restricted Stock Units Common Stock · · 3,500 Disposed
July 26, 2012 INTC Performance-based Restricted Stock Units Common Stock · · 3,023 Acquired
July 26, 2012 INTC Restricted Stock Units Common Stock (4,300) · · 4,300 Acquired
July 23, 2012 INTC Restricted Stock Units Common Stock (1,485) · · 1,485 Disposed
July 23, 2012 INTC Restricted Stock Units Common Stock (1,577) · · 1,577 Disposed
July 23, 2012 INTC Restricted Stock Units Common Stock (6,667) · · 6,667 Disposed
July 16, 2012 INTC Restricted Stock Units Common Stock (1,597) · · 1,597 Disposed
July 22, 2011 INTC Restricted Stock Units Common Stock (4,455) · · 4,455 Acquired
July 22, 2011 INTC Performance-based Restricted Stock Units Common Stock · · 3,104 Acquired
July 22, 2011 INTC Restricted Stock Units Common Stock (6,666) · · 6,666 Disposed
July 22, 2011 INTC Restricted Stock Units Common Stock (1,576) · · 1,576 Disposed
July 18, 2011 INTC Restricted Stock Units Common Stock (2,225) · · 2,225 Disposed
July 18, 2011 INTC Restricted Stock Units Common Stock (1,597) · · 1,597 Disposed
July 22, 2010 INTC Restricted Stock Units Common Stock (4,730) · · 4,730 Acquired
July 22, 2010 INTC Restricted Stock Units Common Stock (20,000) · · 20,000 Acquired
July 22, 2010 INTC Performance-based Restricted Stock Units Common Stock · · 3,080 Acquired
July 19, 2010 INTC Restricted Stock Units Common Stock (1,919) · · 1,919 Disposed
July 17, 2010 INTC Restricted Stock Units Common Stock (2,225) · · 2,225 Disposed
July 16, 2010 INTC Restricted Stock Units Common Stock (1,596) · · 1,596 Disposed
Jan. 18, 2010 INTC Restricted Stock Units Common Stock (1,169) · · 1,169 Disposed
July 20, 2009 INTC Restricted Stock Units Common Stock (1,918) · · 1,918 Disposed
July 17, 2009 INTC Restricted Stock Units Common Stock (2,225) · · 2,225 Disposed
July 16, 2009 INTC Restricted Stock Units Common Stock (4,790) · · 4,790 Acquired
July 16, 2009 INTC Performance-based Restricted Stock Units Common Stock · · 3,500 Acquired
July 16, 2009 INTC Performance-based Restricted Stock Units Common Stock · · 3,500 Acquired
Jan. 18, 2009 INTC Restricted Stock Units Common Stock (1,168) · · 1,168 Disposed
July 21, 2008 INTC Restricted Stock Units COM.STK (1,918) · July 19, 2008 1,918 Disposed
July 17, 2008 INTC Restricted Stock Units COM.STK (2,225) · July 17, 2011 2,225 Acquired
July 17, 2008 INTC Restricted Stock Units COM.STK (2,225) · July 17, 2010 2,225 Acquired
July 17, 2008 INTC Restricted Stock Units COM.STK (2,225) · July 17, 2009 2,225 Acquired
Jan. 17, 2008 INTC Restricted Stock Units COM.STK (1,168) · Jan. 17, 2008 1,168 Disposed
July 19, 2007 INTC Restricted Stock Units COM.STK (1,919) · July 19, 2010 1,919 Acquired
July 19, 2007 INTC Restricted Stock Units COM.STK (1,918) · July 19, 2009 1,918 Acquired
July 19, 2007 INTC Restricted Stock Units COM.STK (1,918) · July 19, 2008 1,918 Acquired
Jan. 18, 2007 INTC Restricted Stock Units COM.STK (1,169) · Jan. 18, 2010 1,169 Acquired
Jan. 18, 2007 INTC Restricted Stock Units COM.STK (1,168) · Jan. 18, 2009 1,168 Acquired
Jan. 18, 2007 INTC Restricted Stock Units COM.STK (1,168) · Jan. 18, 2008 1,168 Acquired
Jan. 17, 2007 INTC Restricted Stock Units COM.STK (1,169) · Jan. 17, 2010 1,169 Acquired
Jan. 17, 2007 INTC Restricted Stock Units COM.STK (1,168) · Jan. 17, 2009 1,168 Acquired
Jan. 17, 2007 INTC Restricted Stock Units COM.STK (1,168) · Jan. 17, 2008 1,168 Acquired
April 1, 2005 COST Stock Option Common Stock (12,000) $43.79 April 1, 2015 12,000 Acquired
Oct. 25, 2004 COST Stock Option Common Stock (6,000) $45.99 Oct. 25, 2014 6,000 Acquired

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

Initial ownership (Form 3) 6 holdings

07

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

DateTickerSecuritySharesOwnership
April 28, 2026 ANDG Class X Aggregator Units [F1]→ Class A Common Stock (50,000) 50,000 Direct
April 28, 2026 ANDG Class X Aggregator Units [F1]→ Class A Common Stock (200,000) 200,000 Indirect
June 11, 2025 CHYM Common Stock [F1] · Direct
June 11, 2025 CHYM Common Stock [F1] · Indirect
Nov. 17, 2006 INTC No securities are beneficially owned 0 Direct
Oct. 20, 2004 COST Common Stock 0 Direct