Silver Point Capital L.P. - SEC Form 4 Insider Trading Screener

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Insider
Sh Price $
Lqdty M$
Date
Filing Date
  
Trade Date
  
Filing Delay
N Days Ago
Transaction Filing
P - Purchase
S - Sale
A - Grant
D - Sale to Iss
G - Gift
F - Tax
M - Option Ex
X - Option Ex
C - Cnv Deriv
W - Inherited
No deriv Multiple Days
Traded K$
Own Chg %
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TCcnt1d1w1m6m
S15-0+0+3+46

X

Filing Date

Trade Date

Ticker

Insider Name

Insider Title

Trade Type 

Share Price

Shares Traded

Shares Owned

Own chg

Value Traded

1d ret

1w ret

1m ret

6m ret

2017-01-11
CPSSilver Point Capital L.P.10%S - Sale$108.13-16,0001,970,214-1%-$1,730,150-3-2
M
2017-01-06
CPSSilver Point Capital L.P.10%S - Sale$107.76-75,0001,986,214-4%-$8,082,0220-5
M
2017-01-03
CPSSilver Point Capital L.P.10%S - Sale$106.85-60,0002,061,214-3%-$6,410,791-1+1
2016-12-30
BASSilver Point Capital L.P.10%S - Sale$35.64-33,0005,360,196-1%-$1,176,156-1-1
M
2016-12-27
BASSilver Point Capital L.P.10%S - Sale$35.48-225,0005,393,196-4%-$7,983,4750+3
M
2016-12-22
CPSSilver Point Capital L.P.10%S - Sale$105.38-35,6002,121,214-2%-$3,751,636-2-1
M
2016-12-19
CPSSilver Point Capital L.P.10%S - Sale$104.52-52,0002,156,814-2%-$5,435,2450-1
M
2016-12-14
CPSSilver Point Capital L.P.10%S - Sale$102.49-62,8862,208,814-3%-$6,445,0110+1+1
M
2016-12-09
CPSSilver Point Capital L.P.10%S - Sale$104.83-67,5002,271,700-3%-$7,075,695-3-20
M
2016-12-06
CPSSilver Point Capital L.P.10%S - Sale$100.46-245,0002,339,200-9%-$24,612,945+30+6
M
2016-10-06
CPSSilver Point Capital L.P.10%S - Sale$101.55-142,0002,584,200-5%-$14,419,7450-1-12
M
2016-08-09
CPSSilver Point Capital L.P.10%S - Sale$95.41-339,3622,726,200-11%-$32,377,148+2+3+2
M
2016-07-29
CPSSilver Point Capital L.P.10%S - Sale$89.30-570,0003,065,562-16%-$50,903,265+2+3+12
2016-03-22
CPSSilver Point Capital L.P.10%S - Sale$68.00-137,2923,635,562-4%-$9,335,856-10+7+47
2016-03-18
CPSSilver Point Capital L.P.10%S - Sale$68.00-987,5983,772,854-21%-$67,156,6640+3+7+45

AAmended filing
DDerivative transaction in filing (usually option exercise)
EError detected in filing
MMultiple transactions in filing; earliest reported transaction date and weighted average transaction price
S - SaleSale of securities on an exchange or to another person
S - Sale+OESale of securities on an exchange or to another person (after option exercise)
F - TaxPayment of exercise price or tax liability using portion of securities received from the company
P - PurchasePurchase of securities on an exchange or from another person
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