X |
Filing Date |
Trade Date |
Ticker |
Insider Name | Title |
Trade Type |
Price |
Qty |
Owned |
ΔOwn |
Value |
1d |
1w |
1m |
6m |
---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
2023-11-10 | CLNN | Matlin David J | Dir | P - Purchase | $0.41 | +250,002 | 7,193,686 | +4% | +$102,501 | ||||||
D | 2023-06-16 | CLNN | Matlin David J | Dir | P - Purchase | $0.80 | +1,500,000 | 6,943,684 | +28% | +$1,200,000 | |||||
2022-11-02 | CLNN | Matlin David J | Dir | P - Purchase | $1.01 | +2,871,287 | 5,443,684 | +112% | +$2,900,000 | ||||||
M | 2022-06-16 | CLNN | Matlin David J | Dir | P - Purchase | $2.50 | +149,610 | 2,572,397 | +6% | +$374,771 | |||||
M | 2022-06-14 | CLNN | Matlin David J | Dir | P - Purchase | $2.66 | +96,011 | 2,422,787 | +4% | +$255,389 | |||||
2022-06-13 | CLNN | Matlin David J | Dir | P - Purchase | $3.06 | +55,000 | 2,326,776 | +2% | +$168,300 | ||||||
M | 2022-06-03 | CLNN | Matlin David J | Dir | P - Purchase | $2.55 | +60,670 | 2,271,776 | +3% | +$154,822 | |||||
2022-05-27 | CLNN | Matlin David J | Dir | P - Purchase | $2.27 | +35,000 | 2,211,106 | +2% | +$79,450 | ||||||
2022-05-16 | CLNN | Matlin David J | Dir | P - Purchase | $2.20 | +181,818 | 2,176,106 | +9% | +$400,000 | ||||||
2022-04-20 | CLNN | Matlin David J | Dir | P - Purchase | $3.01 | +132,891 | 1,994,288 | +7% | +$400,002 | ||||||
M | 2022-03-28 | CLNN | Matlin David J | Dir | P - Purchase | $3.16 | +18,648 | 1,861,397 | +1% | +$58,933 | |||||
M | 2022-03-23 | CLNN | Matlin David J | Dir | P - Purchase | $2.97 | +40,000 | 1,842,749 | +2% | +$118,600 | |||||
M | 2022-03-18 | CLNN | Matlin David J | Dir | P - Purchase | $2.86 | +55,000 | 1,802,749 | +3% | +$157,300 |
A | Amended filing |
D | Derivative transaction in filing (usually option exercise) |
E | Error detected in filing |
M | Multiple transactions in filing; earliest reported transaction date and weighted average transaction price |
S - Sale | Sale of securities on an exchange or to another person |
S - Sale+OE | Sale of securities on an exchange or to another person (after option exercise) |
F - Tax | Payment of exercise price or tax liability using portion of securities received from the company |
P - Purchase | Purchase of securities on an exchange or from another person |