Vinod M Khilnani

CIK 1204034 · View on SEC EDGAR ↗

Insider

First SEC filing: June 6, 2022 · Latest: June 6, 2022

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Insider at

Insider transactions

0 buys (P) 11 sells (S) Net: $-1,815,337 + 87 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

87 other filings hidden
Date Ticker Code Shares Price Value Owned after Δ own A/D vs now
May 13, 2026 MTRN S 603 $208.74 $125,870 13,171 Direct -4.38% Disposed 12.0% (price as of 2026-08-21)
May 13, 2026 MTRN S 410 $208.04 $85,296 13,774 Direct -2.89% Disposed 12.4% (price as of 2026-08-21)
May 13, 2026 MTRN S 752 $206.68 $155,423 14,184 Direct -5.03% Disposed 13.1% (price as of 2026-08-21)
May 13, 2026 MTRN S 735 $205.32 $150,910 14,936 Direct -4.69% Disposed 13.9% (price as of 2026-08-21)
Feb. 17, 2026 MTRN S 1,554 $149.18 $231,826 13,665 Direct -10.21% Disposed 56.7% (price as of 2026-08-21)
Feb. 17, 2026 MTRN S 2,446 $148.67 $363,647 15,219 Direct -13.85% Disposed 57.2% (price as of 2026-08-21)
Nov. 26, 2025 ESE S 252 $218.15 $54,974 20,468 Direct -1.22% Disposed 30.0% (price as of 2026-08-21)
Nov. 26, 2025 ESE S 748 $217.47 $162,668 20,720 Direct -3.48% Disposed 30.4% (price as of 2026-08-21)
Nov. 26, 2025 ESE S 1,000 $217.33 $217,330 21,468 Direct -4.45% Disposed 30.5% (price as of 2026-08-21)
Nov. 26, 2025 ESE S 1,000 $219.00 $219,000 22,468 Direct -4.26% Disposed 29.5% (price as of 2026-08-21)
Nov. 25, 2025 ESE S 216 $224.04 $48,393 23,468 Direct -0.91% Disposed 26.6% (price as of 2026-08-21)
Aug. 20, 2024 ESE S 3,940 $120.01 $472,839 21,947 Direct -15.22% Disposed 136.3% (price as of 2026-08-21)
Aug. 19, 2024 ESE S 60 $121.30 $7,278 25,887 Direct -0.23% Disposed 133.8% (price as of 2026-08-21)

Showing latest 100 of 332 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
July 17, 2026 ESE Restricted Share Units Common Stock (0) 0 Acquired
May 8, 2026 MTRN Restricted Stock Unit Common Stock (837) 837 Acquired
May 7, 2026 MTRN Restricted Stock Units Common Stock (2,006) 2,006 Disposed
April 17, 2026 ESE Restricted Share Units Common Stock (0) 0 Acquired
March 6, 2026 MTRN Restricted Stock Units Common Stock (2) 2 Acquired
Feb. 5, 2026 ESE Restricted Share Units Common Stock $0.00 Feb. 5, 2026 0 Disposed
Feb. 5, 2026 ESE Restricted Share Units Common Stock $0.00 Feb. 5, 2026 1,349 Disposed
Feb. 2, 2026 ESE Restricted Share Units Common Stock (772) 772 Acquired
Jan. 16, 2026 ESE Restricted Share Units Common Stock (0) 0 Acquired
Dec. 5, 2025 MTRN Restricted Stock Units Common Stock (2) 2 Acquired
Oct. 16, 2025 ESE Restricted Share Units Common Stock (1) 1 Acquired
Sept. 5, 2025 MTRN Restricted Stock Units Common Stock (2) 2 Acquired
July 17, 2025 ESE Restricted Share Units Common Stock (1) 1 Acquired
June 13, 2025 MTRN Restricted Stock Units Common Stock (4) 4 Acquired
May 8, 2025 MTRN Restricted Stock Units Common Stock (1,996) 1,996 Acquired
May 7, 2025 MTRN Restricted Stock Units Common Stock (1,155) 1,155 Disposed
April 17, 2025 ESE Restricted Share Units Common Stock (1) 1 Acquired
March 7, 2025 MTRN Restricted Stock Units Common Stock (2) 2 Acquired
Feb. 8, 2025 ESE Restricted Share Units Common Stock $0.00 Feb. 8, 2025 1,737 Disposed
Feb. 8, 2025 ESE Restricted Share Units Common Stock $0.00 Feb. 8, 2025 1 Disposed
Feb. 5, 2025 ESE Restricted Share Units Common Stock (1,347) 1,347 Acquired
Jan. 17, 2025 ESE Restricted Share Units Common Stock (1) 1 Acquired
Dec. 6, 2024 MTRN Restricted Stock Units Common Stock (1) 1 Acquired
Oct. 16, 2024 ESE Restricted Share Units Common Stock (1) 1 Acquired
Sept. 6, 2024 MTRN Restricted Stock Units Common Stock (1) 1 Acquired
July 19, 2024 ESE Restricted Share Units Common Stock (1) 1 Acquired
June 7, 2024 MTRN Restricted Stock Units Common Stock (1) 1 Acquired
May 10, 2024 MTRN Restricted Stock Units Common Stock (1,150) 1,150 Acquired
May 9, 2024 MTRN Restricted Stock Units Common Stock (1,152) 1,152 Disposed
April 16, 2024 ESE Restricted Share Units Common Stock (1) 1 Acquired
March 8, 2024 MTRN Restricted Stock Units Common Stock (1) 1 Acquired
Feb. 8, 2024 ESE Restricted Share Units Common Stock (1,733) 1,733 Acquired
Feb. 6, 2024 ESE Restricted Share Units Common Stock $0.00 1 Disposed
Feb. 6, 2024 ESE Restricted Share Units Common Stock $0.00 1,810 Disposed
Jan. 19, 2024 ESE Restricted Share Units Common Stock (1) 1 Acquired
Dec. 8, 2023 MTRN Restricted Stock Units Common Stock (1) 1 Acquired
Oct. 17, 2023 ESE Restricted Share Units Common Stock (1) 1 Acquired
Sept. 7, 2023 MTRN Restricted Stock Units Common Stock (1) 1 Acquired
July 19, 2023 ESE Restricted Share Units Common Stock (1) 1 Acquired
June 15, 2023 MTRN Restricted Stock Units Common Stock (1) 1 Acquired
May 18, 2023 MTRN Restricted Stock Units Common Stock (1,148) 1,148 Acquired
May 5, 2023 MTRN Restricted Stock Units Common Stock (1,398) 1,398 Disposed
April 18, 2023 ESE Restricted Share Units Common Stock (2) 2 Acquired
March 10, 2023 MTRN Restricted Stock Units Common Stock (2) 2 Acquired
Dec. 8, 2022 MTRN Restricted Stock Units Common Stock (2) 2 Acquired
Sept. 8, 2022 MTRN Restricted Stock Units Common Stock (2) 2 Acquired
June 16, 2022 MTRN Restricted Stock Units Common Stock (2) 2 Acquired
May 5, 2022 MTRN Restricted Stock Units Common Stock (1,390) 1,390 Acquired
May 4, 2022 MTRN Restricted Stock Units Common Stock (1,246) 1,246 Disposed
March 11, 2022 MTRN Restricted Stock Units Common Stock (2) 2 Acquired
Dec. 3, 2021 MTRN Restricted Stock Units Common Stock (2) 2 Acquired
Sept. 3, 2021 MTRN Common Stock Common Stock (2) 2 Acquired
June 11, 2021 MTRN Restricted Stock Units Common Stock (2) 2 Acquired
May 6, 2021 MTRN Restricted Stock Units Common Stock (1,238) 1,238 Acquired
May 6, 2021 MTRN Restricted Stock Units Common Stock (2,012) 2,012 Disposed
March 5, 2021 MTRN Restricted Stock Units Common Stock (3) 3 Acquired
Nov. 30, 2020 MTRN Restricted Stock Units Common Stock (4) 4 Acquired
Sept. 4, 2020 MTRN Restricted Stock Units Common Stock (4) 4 Acquired
June 10, 2020 MTRN Common Stock Common Stock (4) 4 Acquired
May 14, 2020 MTRN Common Stock Common Stock (1,997) 1,997 Acquired
May 8, 2020 MTRN Common Stock Common Stock (1,391) 1,391 Disposed
March 6, 2020 MTRN Common Stock Common Stock (3) 3 Acquired
Dec. 4, 2019 MTRN Restricted Stock Units Common Stock (3) 3 Acquired
Sept. 5, 2019 MTRN Restricted Stock Units Common Stock (2) 2 Acquired
June 5, 2019 MTRN Restricted Stock Units Common Stock (2) 2 Acquired
May 9, 2019 MTRN Restricted Stock Units Common Stock (1,381) 1,381 Acquired
May 3, 2019 MTRN Restricted Stock Unit Common Stock (1,855) 1,855 Disposed
March 7, 2019 MTRN Restricted Stock Unit Common Stock (3) 3 Acquired
Dec. 3, 2018 MTRN Restricted Stock Units Common Stock (4) 4 Acquired
Sept. 5, 2018 MTRN Restricted Stock Units Common Stock (3) 3 Acquired
June 1, 2018 MTRN Restricted Stock Units Common Stock (4) 4 Acquired
May 3, 2018 MTRN Restricted Stock Unit Common Stock (1,841) 1,841 Acquired
May 4, 2017 MTRN Restricted Stock Units [F1] Common Stock (2,332) 2,332 Acquired
May 4, 2016 MTRN Restricted Stock Unit Common Stock (2,941) May 4, 2022 2,941 Acquired
Jan. 16, 2015 ROCK Restricted Stock Unit (MSPP Match Post-2012) [F1] Common Stock (1,933) 1,933 Acquired
Jan. 16, 2015 ROCK Restricted Stock Unit (MSPP Match Post-2012) [F1] Common Stock (1,932) 1,932 Acquired
Jan. 16, 2015 ROCK Restricted Stock Unit (MSPP Post-2012) [F3] Common Stock (1,933) 1,933 Acquired
Dec. 31, 2014 ROCK Restricted Stock Unit (MSPP Post-2012) [F1] Common Stock (638) 638 Acquired
Nov. 3, 2014 ROCK Restricted Stock Unit (MSPP Post-2012) [F3] Common Stock (307) 307 Acquired
Nov. 3, 2014 ROCK Restricted Stock Unit (MSPP Match Post-2012) [F1] Common Stock (307) 307 Acquired
April 30, 2013 CTS Employee Stock Option (right to buy) Common Stock (10,000) $9.78 June 11, 2013 10,000 Disposed
April 29, 2013 CTS Employee Stock Option (right to buy) Common Stock (10,000) $9.78 June 11, 2013 10,000 Acquired
June 7, 2006 CTS Employee Stock Option (Right to buy) Common Stock (11,000) $13.68 June 7, 2016 11,000 Acquired
June 8, 2005 CTS Employee Stock Option (Right to buy) Common Stock (22,000) $11.11 June 7, 2015 22,000 Acquired
June 9, 2004 CTS Employee Stock Option (Right to Buy) Common Stock (17,500) $11.04 June 8, 2014 17,500 Acquired

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

Initial ownership (Form 3) 2 holdings

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

Date Ticker Security Shares Ownership
April 25, 2013 SRCE Common Stock 1,500 Direct
Feb. 3, 2009 MTRN Common Stock 0 Direct

Compensation (DEF 14A)

Matched by name from proxy statements (DEF 14A) — verify against the filing.

CTS

Fiscal year Salary Bonus Stock awards Option awards Non-equity incentive Pension change Other Total
2013 $680,000 $1,298,880 $1,013,200 $1,012,068 $39,105 $4,043,253
2012 $672,839 $545,000 $895,399 $42,618 $3,675,216
2011 $616,169 $529,905 $1,147,116 $56,236 $4,022,666

Figures from the Summary Compensation Table of the company's proxy statement (DEF 14A). Compensation is not a recommendation.