Trina M Evans
CIK 1572558 · View on SEC EDGAR ↗
First SEC filing: July 28, 2025 · Latest: July 28, 2025
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Insider transactions
Price change vs current quote, split-adjusted for corporate actions since the filing — not benchmarked, not annualized, not size-weighted
| Date | Ticker | Code | Shares | Price | Value | Owned after | Δ own | A/D | vs now |
|---|---|---|---|---|---|---|---|---|---|
| July 24, 2025 | KEY | S | 17,000 | $18.67 | $317,390 | 82,719 Direct | -17.05% | Disposed | 17.3% (price as of 2026-08-20) |
| Feb. 12, 2024 | KEY | S | 12,335 | $14.23 | $175,527 | 81,622 Direct | -13.13% | Disposed | 53.9% (price as of 2026-08-20) |
| Aug. 9, 2021 | KEY | S | 12,000 | $20.35 | $244,200 | 70,987 Direct | -14.46% | Disposed | 7.6% (price as of 2026-08-20) |
| Feb. 24, 2021 | KEY | S | 34,305 | $21.41 | $734,470 | 84,109 Direct | -28.97% | Disposed | 2.3% (price as of 2026-08-20) |
| Oct. 28, 2019 | KEY | S | 25,436 | $18.32 | $465,988 | 83,242 Direct | -23.40% | Disposed | 19.6% (price as of 2026-08-20) |
| July 23, 2018 | KEY | S | 13,795 | $20.62 | $284,453 | 71,212 Direct | -16.23% | Disposed | 6.2% (price as of 2026-08-20) |
| July 23, 2018 | KEY | S | 3,950 | $20.74 | $81,923 | 71,212 Direct | -5.26% | Disposed | 5.6% (price as of 2026-08-20) |
| July 23, 2018 | KEY | S | 9,929 | $20.72 | $205,729 | 71,212 Direct | -12.24% | Disposed | 5.7% (price as of 2026-08-20) |
Showing latest 100 of 138 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. 17, 2025 | KEY | Restricted Stock Units | Common Shares (3,936) | — | — | 3,936 | Disposed |
| Feb. 17, 2025 | KEY | Restricted Stock Units | Common Shares (3,098) | — | — | 3,098 | Disposed |
| Feb. 17, 2025 | KEY | Restricted Stock Units | Common Shares (2,500) | — | — | 2,500 | Disposed |
| Feb. 17, 2025 | KEY | Restricted Stock Units | Common Shares | — | — | 3,358 | Disposed |
| Feb. 17, 2025 | KEY | Option to Buy | Common Shares (14,198) | $19.49 | Feb. 17, 2035 | 14,198 | Acquired |
| Feb. 17, 2025 | KEY | Restricted Stock Units | Common Shares (11,851) | — | — | 11,851 | Acquired |
| Feb. 24, 2024 | KEY | Restricted Stock Units | Common Shares | — | — | 5,469 | Disposed |
| Feb. 17, 2024 | KEY | Restricted Stock Units | Common Shares (2,938) | — | — | 2,938 | Disposed |
| Feb. 17, 2024 | KEY | Restricted Stock Units | Common Shares (2,371) | — | — | 2,371 | Disposed |
| Feb. 17, 2024 | KEY | Restricted Stock Units | Common Shares (3,184) | — | — | 3,184 | Disposed |
| Feb. 16, 2024 | KEY | Option to Buy | Common Shares (20,408) | $15.48 | Feb. 16, 2034 | 20,408 | Acquired |
| Feb. 16, 2024 | KEY | Restricted Stock Units | Common Shares (14,925) | — | — | 14,925 | Acquired |
| Feb. 12, 2024 | KEY | Option to Buy | Common Shares (4,752) | $12.92 | Feb. 17, 2024 | 4,752 | Disposed |
| Feb. 24, 2023 | KEY | Restricted Stock Units | Common Shares (5,105) | — | — | 5,105 | Disposed |
| Feb. 17, 2023 | KEY | Option to Buy | Common Shares (16,548) | $21.07 | Feb. 17, 2033 | 16,548 | Acquired |
| Feb. 17, 2023 | KEY | Restricted Stock Units | Common Shares (10,966) | — | — | 10,966 | Acquired |
| Feb. 17, 2023 | KEY | Restricted Stock Units | Common Shares (2,214) | — | — | 2,214 | Disposed |
| Feb. 17, 2023 | KEY | Restricted Stock Units | Common Shares (2,972) | — | — | 2,972 | Disposed |
| Feb. 17, 2023 | KEY | Restricted Stock Units | Common Shares | — | — | 3,722 | Disposed |
| Feb. 24, 2022 | KEY | Restricted Stock Units | Common Shares (4,895) | — | — | 4,895 | Disposed |
| Feb. 17, 2022 | KEY | Restricted Stock Units | Common Shares (2,850) | — | — | 2,850 | Disposed |
| Feb. 17, 2022 | KEY | Restricted Stock Units | Common Shares (3,570) | — | — | 3,570 | Disposed |
| Feb. 17, 2022 | KEY | Restricted Stock Units | Common Shares | — | — | 3,309 | Disposed |
| Feb. 14, 2022 | KEY | Option to Buy | Common Shares (12,110) | $28.50 | Feb. 17, 2032 | 12,110 | Acquired |
| Feb. 14, 2022 | KEY | Restricted Stock Units | Common Shares (8,489) | — | — | 8,489 | Acquired |
| Feb. 24, 2021 | KEY | Option to Buy | Common Shares (16,355) | $10.49 | Feb. 15, 2026 | 16,355 | Disposed |
| Feb. 24, 2021 | KEY | Option to Buy | Common Shares (8,450) | $9.33 | March 1, 2023 | 8,450 | Disposed |
| Feb. 24, 2021 | KEY | Restricted Stock Units | Common Shares (4,730) | — | — | 4,730 | Disposed |
| Feb. 17, 2021 | KEY | Restricted Stock Units | Common Shares (3,449) | — | — | 3,449 | Disposed |
| Feb. 17, 2021 | KEY | Restricted Stock Units | Common Shares (3,197) | — | — | 3,197 | Disposed |
| Feb. 17, 2021 | KEY | Restricted Stock Units | Common Shares | — | — | 3,197 | Disposed |
| Feb. 15, 2021 | KEY | Option to Buy | Common Shares (20,710) | $20.98 | Feb. 17, 2031 | 20,710 | Acquired |
| Feb. 15, 2021 | KEY | Restricted Stock Units | Common Shares (11,012) | — | — | 11,012 | Acquired |
| Oct. 28, 2019 | KEY | Option to Buy | Common Shares (17,136) | $7.98 | March 2, 2022 | 17,136 | Disposed |
| Feb. 18, 2019 | KEY | Restricted Stock Units | Common Shares (12,564) | — | — | 12,564 | Acquired |
| Feb. 18, 2019 | KEY | Option to Buy | Common Shares (17,915) | $17.51 | Feb. 18, 2029 | 17,915 | Acquired |
| Feb. 17, 2019 | KEY | Restricted Stock Units | Common Shares | — | — | 2,342 | Disposed |
| Feb. 17, 2019 | KEY | Restricted Stock Units | Common Shares (3,600) | — | — | 3,600 | Disposed |
| Feb. 17, 2019 | KEY | Restricted Stock Units | Common Shares (2,913) | — | — | 2,913 | Disposed |
| Feb. 17, 2019 | KEY | Restricted Stock Units | Common Shares (2,913) | — | — | 2,913 | Disposed |
| July 23, 2018 | KEY | Option to Buy | Common Shares (3,950) | $8.42 | July 27, 2020 | 3,950 | Disposed |
| July 23, 2018 | KEY | Option to Buy | Common Shares (9,929) | $9.26 | March 4, 2021 | 9,929 | Disposed |
| Feb. 19, 2018 | KEY | Restricted Stock Units | Common Shares (11,298) | — | — | 11,298 | Acquired |
| Feb. 19, 2018 | KEY | Option to Buy | Common Shares (9,765) | $21.02 | Feb. 19, 2028 | 9,765 | Acquired |
| Feb. 17, 2018 | KEY | Restricted Stock Units | Common Shares | — | — | 2,630 | Disposed |
| Feb. 17, 2018 | KEY | Restricted Stock Units | Common Shares (2,271) | — | — | 2,271 | Disposed |
| Feb. 17, 2018 | KEY | Restricted Stock Units | Common Shares (3,493) | — | — | 3,493 | Disposed |
| Feb. 17, 2018 | KEY | Restricted Stock Units | Common Shares (2,827) | — | — | 2,827 | Disposed |
| March 1, 2017 | KEY | Restricted Stock Units | Common Shares (5,293) | — | — | 5,293 | Disposed |
| Feb. 20, 2017 | KEY | Restricted Stock Units | Common Shares (11,075) | — | — | 11,075 | Acquired |
| Feb. 20, 2017 | KEY | Option to Buy | Common Shares (8,695) | $18.96 | Feb. 20, 2027 | 8,695 | Acquired |
| Feb. 17, 2017 | KEY | Restricted Stock Units | Common Shares (2,578) | — | — | 2,578 | Disposed |
| Feb. 17, 2017 | KEY | Restricted Stock Units | Common Shares (2,226) | — | — | 2,226 | Disposed |
| Feb. 17, 2017 | KEY | Restricted Stock Units | Common Shares (3,423) | — | — | 3,423 | Disposed |
| Feb. 10, 2017 | KEY | Option to Buy | Common Shares (12,500) | $11.16 | July 25, 2018 | 12,500 | Disposed |
| March 1, 2016 | KEY | Restricted Stock Units | Common Shares (5,084) | — | — | 5,084 | Disposed |
| Feb. 17, 2016 | KEY | Restricted Stock Units | Common Shares (2,514) | — | — | 2,514 | Disposed |
| Feb. 17, 2016 | KEY | Restricted Stock Units | Common Shares (2,170) | — | — | 2,170 | Disposed |
| Feb. 15, 2016 | KEY | Restricted Stock Units | Common Shares (13,346) | — | — | 13,346 | Acquired |
| Feb. 15, 2016 | KEY | Option to Buy | Common Shares (16,355) | $10.49 | Feb. 15, 2026 | 16,355 | Acquired |
| March 1, 2015 | KEY | Restricted Stock Units | Common Shares (4,981) | — | — | 4,981 | Disposed |
| Feb. 17, 2015 | KEY | Restricted Stock Units | Common Shares (2,463) | — | — | 2,463 | Disposed |
| Feb. 16, 2015 | KEY | Restricted Stock Units | Common Shares (8,504) | — | — | 8,504 | Acquired |
| Feb. 16, 2015 | KEY | Option to Buy | Common Shares (6,928) | $14.11 | Feb. 16, 2025 | 6,928 | Acquired |
| March 1, 2014 | KEY | Restricted Stock Units | Common Shares (4,891) | — | — | 4,891 | Disposed |
| Feb. 17, 2014 | KEY | Restricted Stock Units | Common Shares (9,673) | — | — | 9,673 | Acquired |
| Feb. 17, 2014 | KEY | Option to Buy | Common Shares (4,752) | $12.92 | Feb. 17, 2024 | 4,752 | Acquired |
| July 23, 2013 | KEY | Option to Buy | Common Shares (13,750) | $5.55 | July 27, 2019 | 13,750 | Disposed |
| July 23, 2013 | KEY | Option to Buy | Common Shares (5,713) | $7.98 | March 2, 2022 | 5,713 | Disposed |
| July 23, 2013 | KEY | Option to Buy | Common Shares (7,900) | $8.42 | July 27, 2020 | 7,900 | Disposed |
Exercise/conversion price is blank when not applicable (e.g. RSUs).
Initial ownership (Form 3) 13 holdings
Securities held when first becoming an insider, per SEC Form 3.
| Date | Ticker | Security | Shares | Ownership |
|---|---|---|---|---|
| March 22, 2013 | KEY | Common Shares | 38,081 | Direct |
| March 22, 2013 | KEY | Option to Buy→ Common Shares (2,666) | 2,666 | Direct |
| March 22, 2013 | KEY | Option to Buy→ Common Shares (4,333) | 4,333 | Direct |
| March 22, 2013 | KEY | Option to Buy→ Common Shares (6,170) | 6,170 | Direct |
| March 22, 2013 | KEY | Option to Buy→ Common Shares (6,494) | 6,494 | Direct |
| March 22, 2013 | KEY | Option to Buy→ Common Shares (12,857) | 12,857 | Direct |
| March 22, 2013 | KEY | Option to Buy→ Common Shares (12,500) | 12,500 | Direct |
| March 22, 2013 | KEY | Option to Buy→ Common Shares (13,750) | 13,750 | Direct |
| March 22, 2013 | KEY | Option to Buy→ Common Shares (11,850) | 11,850 | Direct |
| March 22, 2013 | KEY | Option to Buy→ Common Shares (9,929) | 9,929 | Direct |
| March 22, 2013 | KEY | Option to Buy→ Common Shares (22,849) | 22,849 | Direct |
| March 22, 2013 | KEY | Option to Buy→ Common Shares (8,450) | 8,450 | Direct |
| March 22, 2013 | KEY | Restricted Stock Units→ Common Shares (19,292) | 19,292 | Direct |