Insider at

04

Insider transactions

05
0 buys (P) 1 sells (S) Net: $-2,859,907 + 97 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

97 other filings hidden
DateTickerCodeSharesPriceValue Owned afterΔ ownA/Dvs now
Nov. 5, 2025 PWR S 6,349 $450.45 $2,859,907 2,730 Direct -69.93% Disposed 50.2% (price as of 2026-10-02)
Feb. 28, 2024 PWR S 9,572 $237.31 $2,271,531 7,486 Direct -56.11% Disposed 185.1% (price as of 2026-10-02)
May 20, 2020 WCN S 18,000 $92.26 $1,660,680 113,239 Direct -13.72% Disposed 66.7% (price as of 2026-10-02)

Showing latest 100 of 130 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. 4, 2026 WSC Restricted Stock Units [F1] Common Stock (25,652) · · 25,652 Disposed
June 1, 2026 PWR Restricted Stock Units Common Stock (559) · · 559 Disposed
May 21, 2026 PWR Restricted Stock Units Common Stock (249) · · 249 Acquired
Feb. 24, 2026 WSC Performance Stock Units [F1] Common Stock (71,016) · · 71,016 Acquired
Sept. 4, 2025 WSC Stock Options (right to buy) [F1] Common Stock (120,000) $23.39 Sept. 4, 2035 120,000 Acquired
Sept. 4, 2025 WSC Restricted Stock Units [F1] Common Stock (51,304) · · 51,304 Acquired
June 1, 2025 PWR Restricted Stock Units Common Stock (622) · · 622 Disposed
May 22, 2025 PWR Restricted Stock Units Common Stock (559) · · 559 Acquired
June 1, 2024 PWR Restricted Stock Units Common Stock (971) · · 971 Disposed
May 24, 2024 PWR Restricted Stock Units Common Stock (622) · · 622 Acquired
Feb. 19, 2023 WCN Restricted Share Units Common Shares (4,664) $0.00 · 4,664 Disposed
Feb. 18, 2023 WCN Restricted Share Units Common Shares (4,401) $0.00 · 4,401 Disposed
Feb. 17, 2023 WCN Restricted Share Units Common Shares (15,355) $0.00 · 15,355 Acquired
Feb. 17, 2023 WCN Restricted Share Units Common Shares (15,355) $0.00 · 15,355 Acquired
Feb. 15, 2023 WCN Performance Share Units Common Shares (2,353) $0.00 · 2,353 Disposed
Feb. 14, 2023 WCN Performance Share Units Common Shares (18,635) $0.00 · 18,635 Disposed
Feb. 14, 2023 WCN Performance Share Units Common Shares (3,557) $0.00 · 3,557 Disposed
Feb. 20, 2022 WCN Restricted Share Units Common Shares (2,427) $0.00 · 2,427 Disposed
Feb. 19, 2022 WCN Restricted Share Units Common Shares (4,663) $0.00 · 4,663 Disposed
Feb. 18, 2022 WCN Restricted Share Units Common Shares (17,603) $0.00 · 17,603 Acquired
Feb. 18, 2022 WCN Restricted Share Units Common Shares (17,604) $0.00 · 17,604 Acquired
Feb. 15, 2022 WCN Performance Share Units Common Shares (2,354) $0.00 · 2,354 Disposed
Feb. 14, 2022 WCN Performance Share Units Common Shares (3,556) $0.00 · 3,556 Disposed
Feb. 24, 2021 WCN Restricted Share Units Common Shares (2,773) $0.00 · 2,773 Disposed
Feb. 20, 2021 WCN Restricted Share Units Common Shares (2,427) $0.00 · 2,427 Disposed
Feb. 20, 2021 WCN Restricted Share Units Common Shares (4,862) $0.00 · 4,862 Disposed
Feb. 19, 2021 WCN Restricted Share Units Common Shares (18,653) $0.00 · 18,653 Acquired
Feb. 19, 2021 WCN Restricted Share Units Common Shares (18,653) $0.00 · 18,653 Acquired
Feb. 15, 2021 WCN Restricted Share Units Common Shares (2,354) $0.00 · 2,354 Disposed
Feb. 14, 2021 WCN Restricted Share Units Common Shares (3,556) $0.00 · 3,556 Disposed
Feb. 24, 2020 WCN Restricted Share Units Common Shares (2,773) $0.00 · 2,773 Disposed
Feb. 24, 2020 WCN Performance Share Units Common Shares (10,692) $0.00 · 10,692 Disposed
Feb. 20, 2020 WCN Restricted Share Units Common Shares (2,427) $0.00 · 2,427 Disposed
Feb. 15, 2020 WCN Restricted Share Units Common Shares (2,354) $0.00 · 2,354 Disposed
Feb. 14, 2020 WCN Restricted Share Units Common Shares (14,225) $0.00 · 14,225 Acquired
Feb. 14, 2020 WCN Restricted Share Units Common Shares (14,225) $0.00 · 14,225 Acquired
Feb. 11, 2020 WCN Restricted Share Units Common Shares (5,341) $0.00 · 5,341 Disposed
Feb. 24, 2019 WCN Restricted Share Units Common Shares (2,774) $0.00 · 2,774 Disposed
Feb. 20, 2019 WCN Restricted Share Units Common Shares (2,427) $0.00 · 2,427 Disposed
Feb. 15, 2019 WCN Restricted Share Units Common Shares (9,415) $0.00 · 9,415 Acquired
Feb. 15, 2019 WCN Restricted Share Units Common Shares (9,415) $0.00 · 9,415 Acquired
Feb. 12, 2019 WCN Restricted Share Units Common Shares (6,613) $0.00 · 6,613 Disposed
Feb. 11, 2019 WCN Restricted Share Units Common Shares (5,341) $0.00 · 5,341 Disposed
Feb. 24, 2018 WCN Restricted Share Units Common Shares (2,774) $0.00 · 2,774 Disposed
Feb. 20, 2018 WCN Restricted Share Units Common Shares (9,708) $0.00 · 9,708 Acquired
Feb. 20, 2018 WCN Restricted Share Units Common Shares (5,228) $0.00 · 5,228 Acquired
Feb. 13, 2018 WCN Restricted Share Units Common shares (6,610) $0.00 · 6,610 Disposed
Feb. 12, 2018 WCN Restricted Share Units Common Shares (6,613) $0.00 · 6,613 Disposed
Feb. 11, 2018 WCN Restricted Share Unites Common Shares (5,342) $0.00 · 5,342 Disposed

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

Compensation (DEF 14A)

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

WCN

CEO
Fiscal yearSalaryBonusStock awards Option awardsNon-equity incentivePension changeOtherTotal
2019 $716,792 · · · $1,102,500 · $29,581 $3,408,374
2018 $611,808 · · · $680,000 · $22,026 $2,366,374
2017 $556,953 · · · $900,000 · $21,097 $2,471,691

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