Filing Details

Accession Number:
0001217465-17-000007
Form Type:
4
Zero Holdings:
No
Publication Time:
2017-09-15 11:09:42
Reporting Period:
2017-09-12
Accepted Time:
2017-09-15 11:09:42
SEC Url:
Form 4 Filing
Issuer
Cik Name Symbol Sector (SIC) IRS No
1647509 Forest City Realty Trust Inc. FCEA () 4
Insiders
Cik Name Reported Address Insider Title Director Officer Large Shareholder Other
1217465 A Ronald Ratner 50 Public Square, Suit 1100
Cleveland OH 44113
Executive Vice President Yes Yes 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
Class A Common Stock Disposition 2017-09-12 76,970 $0.00 1,119,549 No 5 G Indirect See footnote
Class A Common Stock Disposition 2017-09-12 31,149 $25.82 1,088,400 No 4 S Indirect See footnote
Class A Common Stock Disposition 2017-09-13 29,506 $25.54 1,059 No 4 S Indirect See footnote
Class A Common Stock Disposition 2017-09-14 31,955 $25.48 1,026,939 No 4 S Indirect See footnote
Class A Common Stock Disposition 2017-09-12 39,872 $25.82 779,812 No 4 S Indirect See footnote
Class A Common Stock Disposition 2017-09-13 37,767 $25.54 742,045 No 4 S Indirect See footnote
Class A Common Stock Disposition 2017-09-14 40,901 $25.48 701,144 No 4 S Indirect See footnote
Equity Swap Involved Form Type Code Nature of Ownership Explanation
No 5 G Indirect See footnote
No 4 S Indirect See footnote
No 4 S Indirect See footnote
No 4 S Indirect See footnote
No 4 S Indirect See footnote
No 4 S Indirect See footnote
No 4 S Indirect See footnote
Reported Non-Derivative Holdings
Sec. Name Remaning Holdings Nature of Ownership Explanation
Class A Common Stock 152,681 Indirect See footnote
Class A Common Stock 187,500 Indirect See footnote
Class A Common Stock 4,696 Indirect See footnote
Class A Common Stock 6,770 Direct
Class A Common Stock 8,954 Direct
Class A Common Stock 11,452 Direct
Class A Common Stock 1,179 Indirect See footnote
Class A Common Stock 613,661 Indirect See footnote
Reported Derivative Holdings
Sec. Name Sec. Type Price Date Expiration Date Amount Remaning Holdings Nature of Ownership
Class A Common 2008 Stock Option Grant (right to buy) $36.38 2010-06-18 2018-06-18 17,721 17,721 Direct
Class A Common 2009 Stock Option Grant (right to buy) $7.80 2011-04-21 2019-04-21 21,797 21,797 Direct
Class A Common 2010 Stock Option Grant (right to buy) $15.89 2012-04-14 2020-04-14 36,635 36,635 Direct
Class A Common 2011 Stock Option Grant (right to buy) $17.72 2013-04-13 2021-04-13 24,103 24,103 Direct
Class A Common 2012 Stock Option Grant (right to buy) $14.74 2014-04-11 2022-04-11 32,477 32,477 Direct
Class A Common 2013 Stock Option Grant (right to buy) $17.60 2015-04-08 2023-04-08 30,384 30,384 Direct
Class A Common 2014 Stock Option Grant (right to buy) $18.73 2016-03-28 2024-03-28 28,745 28,745 Direct
Class A Common 2014 Performance Shares $0.00 2017-12-31 1988-08-08 17,796 17,796 Direct
Class A Common 2015 Performance Shares $0.00 2017-12-31 1988-08-08 13,539 13,539 Direct
Class A Common 2016 Performance Shares $0.00 2018-12-31 1988-08-08 17,908 17,908 Direct
Class A Common 2017 Performance Shares $0.00 2019-12-31 1988-08-08 17,178 17,178 Direct
Class A Common 2015 Out Performance Shares $0.00 2017-12-31 1988-08-08 20,000 20,000 Direct
Expiration Date Amount Remaning Holdings Nature of Ownership
2018-06-18 17,721 17,721 Direct
2019-04-21 21,797 21,797 Direct
2020-04-14 36,635 36,635 Direct
2021-04-13 24,103 24,103 Direct
2022-04-11 32,477 32,477 Direct
2023-04-08 30,384 30,384 Direct
2024-03-28 28,745 28,745 Direct
1988-08-08 17,796 17,796 Direct
1988-08-08 13,539 13,539 Direct
1988-08-08 17,908 17,908 Direct
1988-08-08 17,178 17,178 Direct
1988-08-08 20,000 20,000 Direct
Footnotes
  1. The Ronald Ratner 1986 Trust Agreement, as modified (Ronald Ratner is Trustee). On 9/12/2017, 9/13/2017 and 9/14/2017, the Trust sold 31,149, 29,506 and 31,955 shares of Class A Common Stock, respectively. 9/12/2017 - The price of $25.8246 represents a weighted average of sales prices ranging from $25.61 per share to $26.14 per share. 9/13/2017 - The price of $25.5442 represents a weighted average of sales prices ranging from $25.40 per share to $25.77 per share. 9/14/2017 - The price of $25.4847 represents a weighted average of sales prices ranging from $25.38 per share to $25.62 per share. Full information regarding the number of shares sold at each separate price will be provided to the SEC, the issuer or a security holder of the issuer upon request. Post-transactions, the Trust holds 1,026,939 shares of Class A Common Stock as follows: 657,600 shares held as a direct limited partner of RMS, Ltd.; and 369,339 directly.
  2. Deborah B. Ratner Trust - individually trust of spouse, shares held in street account.
  3. Deborah Ratner 2012 Irrev Trust - Ronald Ratner is trustee.
  4. Deborah B. Ratner, Trustee of the Irene Meldon 1998 Irrevocable dated 12/04/1998. Trust holds 4,696 shares of Class A Common Stock as follows: 2,348 shares for benefit of Matthew (son); and 2,348 shares for benefit of Sarah (daughter). Ronald Ratner disclaims any beneficial interest.
  5. Max Ratner Grandchildren's Trust dated 12/21/1988. On 9/12/2017, 9/13/2017 and 9/14/2017, the Trust sold 39,872, 37,767 and 40,901 shares of Class A Common Stock, respectively. The prices of $25.8246, $25.5442 and $25.4847 represent weighted average of sales prices ranging from $25.61 to $26.14 per share, $25.40 to $25.77 per share and $25.38 to $25.62 per share, respectively. Full information regarding the number of shares sold at each separate price will be provided to the SEC, the issuer or a security holder of the issuer upon request. Post-transactions, the Trust holds 701,144 shares of Class A Common Stock as follows: 40,000 shares as a direct limited partner of RMS, Ltd. fbo Matthew Ratner (son); 225,578 directly fbo Matthew; 70,000 shares as a direct limited partner of RMS, Ltd. fbo Sarah Ratner (daughter); and 365,566 directly fbo Sarah. Ronald Ratner disclaims any beneficial interest.
  6. 2015 Restricted Stock Grant - 25% vested on 3/26/2016; 25% vested on 3/26/2017; and 50% vest on 3/26/2018.
  7. 2016 Restricted Stock Grant - 25% vested on 3/23/2017; 25% vest on 3/23/2018; and 50% vest on 3/23/2019.
  8. 2017 Restricted Stock Grant - 25% vest on 3/24/2018; 25% vest on 3/24/2019; and 50% vest on 3/24/2020.
  9. General Partnership interest in RMS, Ltd Partnership.
  10. Max Ratner Family 1999 Revocable Trust (Ronald Ratner is Trust Advisor). Trust holds 613,661 shares of Class A Common Stock as follows: 14,887 shares for the benefit of Sarah Ratner (daughter); 350,000 shares for Sarah Ratner as a limited partner in RMS Ltd.; 23,774 shares for the benefit of Matthew Ratner (son); and 225,000 for Matthew Ratner as a limited partner of RMS, Ltd. Ronald Ratner disclaims any beneficial interest.
  11. 2008 Stock Option Grant - 25% exercisable 6/18/2010; 25% exercisable 6/18/2011; and 50% exercisable 6/18/2012.
  12. 2009 Stock Option Grant - 25% exercisable 4/21/2011; 25% exercisable 4/21/2012; and 50% exercisable 4/21/2013.
  13. 2010 Stock Option Grant - 25% exercisable 4/14/2012; 25% exercisable 4/14/2013; and 50% exercisable 4/14/2014.
  14. 2011 Stock Option Grant - 25% exercisable 4/13/2013; 25% exercisable 4/13/2014; and 50% exercisable 4/13/2015.
  15. 2012 Stock Option Grant - 25% exercisable 4/11/2014; 25% exercisable 4/11/2015; and 50% exercisable 4/11/2016.
  16. 2013 Stock Option Grant - 25% exercisable 4/08/2015; 25% exercisable 4/08/2016; and 50% exercisable 4/08/2017.
  17. 2014 Stock Option Grant - 0% exercisable 3/28/2015; 25% exercisable 3/28/2016; 25% exercisable 3/28/2017; and 50% exercisable 3/28/2018.
  18. Performance Shares Award - granted 3/28/2014 - performance period is from January 1, 2014 to December 31, 2017. Awards will be available to the grantee at the end of the performance period provided that certain performance criteria are met. The actual number of shares earned could range from 0 to 200% of the number of Performance Shares granted. Fair market value on date of grant is $18.73 per share. There is no fixed expiration date.
  19. Performance Shares Award - granted 3/26/2015 - performance period is from January 1, 2015 to December 31, 2017. Awards will be available to the grantee at the end of the performance period provided that certain performance criteria are met. The actual number of shares earned could range from 0 to 200% of the number of Performance Shares granted. Fair market value on date of grant is $24.62 per share. There is no fixed expiration date.
  20. Performance Shares Award - granted 3/23/2016 - performance period is from January 1, 2016 to December 31, 2018. Awards will be available to the grantee at the end of the performance period provided that certain performance criteria are met. The actual number of shares earned could range from 0 to 200% of the number of Performance Shares granted. Fair market value on date of grant is $20.94 per share. There is no fixed expiration date.
  21. Performance Shares Award - granted 3/24/2017 - performance period is from January 1, 2017 to December 31, 2019. Awards will be available to the grantee at the end of the performance period provided that certain performance criteria are met. The actual number of shares earned could range from 0 to 200% of the number of Performance Shares granted. Fair market value on date of grant is $21.83 per share. There is no fixed expiration date.
  22. Out Performance Shares Award - granted 3/27/2015 - performance period is from January 1, 2015 to December 31, 2017. Awards will be available to the grantee at the end of the performance period provided that certain performance criteria are met. The actual number of shares earned could range from 0 to 300% of the number of Performance Shares granted. Fair market value on date of grant is $25.31 per share. There is no fixed expiration date.