Filing Details

Accession Number:
0001209191-15-018755
Form Type:
4
Zero Holdings:
No
Publication Time:
2015-02-25 18:16:59
Reporting Period:
2015-02-23
Filing Date:
2015-02-25
Accepted Time:
2015-02-25 18:16:59
SEC Url:
Form 4 Filing
Issuer
Cik Name Symbol Sector (SIC) IRS No
1281895 Inotek Pharmaceuticals Corp ITEK Pharmaceutical Preparations (2834) 000000000
Insiders
Cik Name Reported Address Insider Title Director Officer Large Shareholder Other
1212648 Care Capital Ii Llc 47 Hulfish Street
Suite 310
Princeton NJ 08542
No No Yes No
1223011 Care Capital Investments Ii Lp 47 Hulfish Street
Suite 310
Princeton NJ 08542
No No Yes No
1357403 Care Capital Offshore Investments Ii Lp 47 Hulfish Street
Suite 310
Princeton NJ 08542
No No Yes No
1599354 Care Capital Offshore Investments Iii Lp 47 Hulfish Street
Suite 310
Princeton NJ 08542
No No Yes No
1599355 L.p. Iii Investments Capital Care 47 Hulfish Street
Suite 310
Princeton NJ 08542
No No Yes No
1599356 Care Capital Iii Llc 47 Hulfish Street
Suite 310
Princeton NJ 08542
No No Yes 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 2015-02-23 1,394,645 $0.00 1,609,747 No 4 C Indirect See Footnotes
Common Stock Acquisiton 2015-02-23 63,560 $0.00 1,673,307 No 4 C Indirect See Footnotes
Common Stock Acquisiton 2015-02-23 603,832 $6.00 2,277,139 No 4 P Indirect See Footnotes
Equity Swap Involved Form Type Code Nature of Ownership Explanation
No 4 C Indirect See Footnotes
No 4 C Indirect See Footnotes
No 4 P Indirect See Footnotes
Reported Derivative Transactions
Sec. Name Sec. Type Acquisiton - Disposition Date Amount Price Amount - 2 Price - 2
Common Stock Series AA Convertible Preferred Stock Disposition 2015-02-23 4,459,658 $0.00 1,394,645 $0.00
Common Stock Convertible Promissory Notes Disposition 2015-02-23 0 $0.00 63,560 $0.00
Remaning Holdings Exercise Date Expiration Date Equity Swap Involved Transaction Form Type Transaction Code Nature of Ownership
0 No 4 C Indirect
0 No 4 C Indirect
Footnotes
  1. Consists of the following shares of Common Stock issued upon conversion of shares of Series AA Convertible Preferred Stock ("Series AA") and accrued and unpaid dividends thereon, on a 4.05783-for-1 basis, upon the closing of the Issuer's initial public offering: (i) 511,781 shares held directly by Care Capital Investments II, LP ("Care Investments II"), (ii) 35,132 shares held directly by Care Capital Offshore Investments II, LP ("Offshore II"), (iii) 833,811 shares held directly by Care Capital Investments III, LP ("Care Investments III"), and (iv) 13,921 shares held directly by Care Capital Offshore Investments III, LP ("Offshore III"). The shares of Series AA had no expiration date.
  2. Care Capital II, LLC is the general partner of Care Investments II and Offshore II and as a result, Care Capital II, LLC has the ultimate power to vote or direct the vote and to dispose or direct the disposition of such shares. Care Capital II, LLC is managed by three or more members and accordingly none of the managing members is deemed to have voting or dispositive control over the securities.
  3. Care Capital III, LLC is the general partner of Care Investments III and Offshore III and as a result, Care Capital III, LLC has the ultimate power to vote or direct the vote and to dispose or direct the disposition of such shares. Care Capital III, LLC is managed by three or more members and accordingly none of the managing members is deemed to have voting or dispositive control over the securities.
  4. The outstanding principal amount and all accrued and unpaid interest under the Convertible Promissory Notes were automatically converted upon the closing of the Issuer's initial public offering into shares of Common Stock at the initial public offering price of $6.00 per share. The Convertible Promissory Notes had no expiration date. The number of shares of Common Stock as shown in column 4 of Table I consists of the following: (i) 62,516 shares held directly by Care Investments III, and (ii) 1,044 shares held directly by Offshore III.
  5. Consists of the following shares purchased at the Issuer's initial public offering: (i) 593,913 shares held directly by Care Investments III, and (ii) 9,919 shares held directly by Offshore III.