Filing Details

Accession Number:
0001242609-14-000005
Form Type:
4
Zero Holdings:
No
Publication Time:
2014-01-15 11:28:24
Reporting Period:
2014-01-14
Filing Date:
2014-01-15
Accepted Time:
2014-01-15 11:28:24
SEC Url:
Form 4 Filing
Issuer
Cik Name Symbol Sector (SIC) IRS No
316793 International Rectifier Corp IRF Semiconductors & Related Devices (3674) 951528961
Insiders
Cik Name Reported Address Insider Title Director Officer Large Shareholder Other
1104268 B Mary Cranston 101 N. Sepulveda Boulevard
El Segundo CA 90245
Yes No No No
Reported Non-Derivative Transactions
Sec. Name Acquisiton - Disposition Date Amount Price Remaning Holdings Equity Swap Involved Form Type Code Nature of Ownership Explanation
Common Stock Acquisiton 2014-01-14 3,000 $18.62 19,393 No 4 M Direct
Common Stock Disposition 2014-01-14 3,000 $27.00 16,393 No 4 S Direct
Common Stock Acquisiton 2014-01-14 4,000 $13.90 20,393 No 4 M Direct
Common Stock Disposition 2014-01-14 4,000 $27.00 16,393 No 4 S Direct
Equity Swap Involved Form Type Code Nature of Ownership Explanation
No 4 M Direct
No 4 S Direct
No 4 M Direct
No 4 S Direct
Reported Derivative Transactions
Sec. Name Sec. Type Acquisiton - Disposition Date Amount Price Amount - 2 Price - 2
Common Stock Non-Qualified Stock Option Disposition 2014-01-14 1,000 $0.00 1,000 $18.62
Common Stock Non-Qualified Stock Option Disposition 2014-01-14 2,000 $0.00 2,000 $18.62
Common Stock Non-Qualified Stock Option Disposition 2014-01-14 4,000 $0.00 4,000 $13.90
Remaning Holdings Exercise Date Expiration Date Equity Swap Involved Transaction Form Type Transaction Code Nature of Ownership
4,000 2011-09-01 2014-08-31 No 4 M Direct
2,000 2012-09-01 2014-08-31 No 4 M Direct
0 2012-02-13 2014-02-12 No 4 M Direct
Footnotes
  1. The sale of shares set forth herein are made in connection with a selling plan, dated August 30, 2013, that is intended to comply with Rule 10b5-1(c) promulgated under the Securities Exchange Act of 1934 (as amended).
  2. The sale of shares set forth herein are made in connection with a selling plan, dated February 8, 2013, that is intended to comply with Rule 10b5-1(c) promulgated under the Securities Exchange Act of 1934 (as amended).