Filing Details
- Accession Number:
- 0001179110-19-003454
- Form Type:
- 4
- Zero Holdings:
- No
- Publication Time:
- 2019-03-06 17:45:11
- Reporting Period:
- 2019-03-04
- Accepted Time:
- 2019-03-06 17:45:11
- SEC Url:
- Form 4 Filing
Issuer
Cik | Name | Symbol | Sector (SIC) | IRS No |
---|---|---|---|---|
1053706 | Cra International Inc. | CRAI | Services-Legal Services (8111) | 042372210 |
Insiders
Cik | Name | Reported Address | Insider Title | Director | Officer | Large Shareholder | Other |
---|---|---|---|---|---|---|---|
1379160 | A Paul Maleh | 200 Clarendon Street Boston MA 02116 | President And Ceo | 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 |
---|---|---|---|---|---|---|---|---|---|---|
Common Stock | Disposition | 2019-03-04 | 19,900 | $48.12 | 119,870 | No | 4 | S | Direct | |
Common Stock | Disposition | 2019-03-04 | 1,826 | $49.54 | 118,044 | No | 4 | S | Direct | |
Common Stock | Acquisiton | 2019-03-04 | 425 | $50.00 | 117,619 | No | 4 | S | Direct | |
Common Stock | Disposition | 2019-03-04 | 2,001 | $50.32 | 115,618 | No | 4 | S | Direct | |
Common Stock | Disposition | 2019-03-05 | 848 | $49.00 | 114,770 | No | 4 | S | Direct |
Equity Swap Involved | Form Type | Code | Nature of Ownership | Explanation |
---|---|---|---|---|
No | 4 | S | Direct | |
No | 4 | S | Direct | |
No | 4 | S | Direct | |
No | 4 | S | Direct | |
No | 4 | S | Direct |
Reported Derivative Holdings
Sec. Name | Sec. Type | Price | Date | Expiration Date | Amount | Remaning Holdings | Nature of Ownership |
---|---|---|---|---|---|---|---|
Common Stock | Restricted Stock Units | $0.00 | 7,860 | 7,860 | Direct | ||
Common Stock | Restricted Stock Units | $0.00 | 9,376 | 9,376 | Direct | ||
Common Stock | Restricted Stock Units | $0.00 | 6,203 | 6,203 | Direct | ||
Common Stock | Restricted Stock Units | $0.00 | 5,171 | 5,171 | Direct | ||
Common Stock | Restricted Stock Units | $0.00 | 3,373 | 3,373 | Direct | ||
Common Stock | Restricted Stock Units | $0.00 | 4,901 | 4,901 | Direct | ||
Common Stock | Restricted Stock Units | $0.00 | 7,586 | 7,586 | Direct | ||
Common Stock | Nonqualified Stock Option (right to buy) | $18.48 | 2013-11-19 | 2020-11-19 | 25,946 | 25,946 | Direct |
Common Stock | Nonqualified Stock Option (right to buy) | $30.97 | 2014-11-20 | 2021-11-20 | 15,000 | 15,000 | Direct |
Common Stock | Nonqualified Stock Option (right to buy) | $21.52 | 2015-11-12 | 2022-11-12 | 26,086 | 26,086 | Direct |
Common Stock | Nonqualified Stock Option (right to buy) | $30.96 | 2016-11-14 | 2023-11-14 | 20,000 | 20,000 | Direct |
Common Stock | Nonqualified Stock Option (right to buy) | $44.87 | 2017-12-18 | 2027-12-18 | 16,304 | 16,304 | Direct |
Common Stock | Nonqualified Stock Option (right to buy) | $47.45 | 2018-12-06 | 2028-12-06 | 15,173 | 15,173 | Direct |
Expiration Date | Amount | Remaning Holdings | Nature of Ownership |
---|---|---|---|
7,860 | 7,860 | Direct | |
9,376 | 9,376 | Direct | |
6,203 | 6,203 | Direct | |
5,171 | 5,171 | Direct | |
3,373 | 3,373 | Direct | |
4,901 | 4,901 | Direct | |
7,586 | 7,586 | Direct | |
2020-11-19 | 25,946 | 25,946 | Direct |
2021-11-20 | 15,000 | 15,000 | Direct |
2022-11-12 | 26,086 | 26,086 | Direct |
2023-11-14 | 20,000 | 20,000 | Direct |
2027-12-18 | 16,304 | 16,304 | Direct |
2028-12-06 | 15,173 | 15,173 | Direct |
Footnotes
- The price reported in column 4 is a weighted average price. These shares were sold in multiple transactions at prices ranging from $48.00 to $48.59, inclusive. The reporting person undertakes to provide to the Issuer, any securities holder of the Issuer, or the staff of the Securities and Exchange Commission, upon request, full information regarding the number of shares sold at each separate price within such range.
- The price reported in column 4 is a weighted average price. These shares were sold in multiple transactions at prices ranging from $49.00 to $49.77, inclusive. The reporting person undertakes to provide to the Issuer, any securities holder of the Issuer, or the staff of the Securities and Exchange Commission, upon request, full information regarding the number of shares sold at each separate price within such range.
- The price reported in column 4 is a weighted average price. These shares were sold in multiple transactions at prices ranging from $50.22 to $51.1950, inclusive. The reporting person undertakes to provide to the Issuer, any securities holder of the Issuer, or the staff of the Securities and Exchange Commission, upon request, full information regarding the number of shares sold at each separate price within such range.
- Each restricted stock unit ("RSU") represents a contingent right to receive one share of the Issuer's common stock; vested RSUs are payable in the form of cash, shares of the Issuer's common stock or a combination thereof, except as otherwise indicated below. To the extent vested RSUs are paid in shares of the Issuer's common stock, such shares will be delivered to the reporting person as soon as possible after vesting, but in no event later than two and one-half months after the end of the year in which vesting occurs, subject to the collection of withholding taxes. Dividend equivalent rights accrue with respect to unvested RSUs in the form of additional RSUs ("Dividend Units") when and as dividends are paid on the Issuer's common stock, and Dividend Units vest on the same dates and in the same relative proportions as the RSUs on which they accrue.
- The RSUs, which include an aggregate of 259.9330 Dividend Units, vest in two equal annual installments beginning on November 14, 2019.
- The RSUs, which include an aggregate of 203.8254 Dividend Units, vest in two equal annual installments beginning on March 1, 2020.
- The RSUs, which include an aggregate of 89.4282 Dividend Units, vest in three equal annual installments beginning on December 18, 2019.
- The RSUs, which include an aggregate of 171.0000 Dividend Units, vest in two equal annual installments beginning on November 14, 2019.
- The RSUs, which include an aggregate of 111.5262 Dividend Units, vest on November 12, 2019.
- The RSUs, which include an aggregate of 162.0800 Dividend Units, vest on November 12, 2019.
- The RSUs vest in four equal annual installments beginning on December 6, 2019.
- Date indicated is date of grant. Option vests in four equal annual installments beginning on the first anniversary of the date of grant.
- These shares were sold as part of the reporting person's financial planning.