Filing Details

Accession Number:
0001209191-21-019683
Form Type:
4
Zero Holdings:
No
Publication Time:
2021-03-10 21:18:32
Reporting Period:
2021-03-08
Accepted Time:
2021-03-10 21:18:32
SEC Url:
Form 4 Filing
Issuer
Cik Name Symbol Sector (SIC) IRS No
1577526 C3.Ai Inc. AI () 4
Insiders
Cik Name Reported Address Insider Title Director Officer Large Shareholder Other
1031530 M Thomas Siebel C/O C3.Ai, Inc.
1300 Seaport Blvd, Suite 500
Redwood City CA 94603
Chief Executive Officer Yes Yes Yes No
1834425 Siebel Living Trust U/A/D 7/27/93, As Amended C/O C3.Ai, Inc.
1300 Seaport Blvd, Suite 500
Redwood City CA 94063
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
Class A Common Stock Disposition 2021-03-08 423,534 $82.80 11,633,993 No 4 S Indirect See Footnote
Class A Common Stock Disposition 2021-03-08 268,880 $85.40 11,365,113 No 4 S Indirect See Footnote
Class A Common Stock Disposition 2021-03-08 88,246 $86.55 11,276,867 No 4 S Indirect See Footnote
Class A Common Stock Disposition 2021-03-08 89,554 $87.49 11,187,313 No 4 S Indirect See Footnote
Class A Common Stock Disposition 2021-03-08 43,037 $88.31 11,144,276 No 4 S Indirect See Footnote
Class A Common Stock Disposition 2021-03-08 20,220 $89.48 11,124,056 No 4 S Indirect See Footnote
Class A Common Stock Disposition 2021-03-08 31,287 $90.64 11,092,769 No 4 S Indirect See Footnote
Class A Common Stock Disposition 2021-03-08 30,365 $91.36 11,062,404 No 4 S Indirect See Footnote
Class A Common Stock Disposition 2021-03-08 4,877 $92.23 11,057,527 No 4 S Indirect See Footnote
Class A Common Stock Disposition 2021-03-09 617,519 $83.99 10,440,008 No 4 S Indirect See Footnote
Class A Common Stock Disposition 2021-03-09 211,235 $85.20 10,228,773 No 4 S Indirect See Footnote
Class A Common Stock Disposition 2021-03-09 57,936 $86.26 10,170,837 No 4 S Indirect See Footnote
Class A Common Stock Disposition 2021-03-09 31,693 $87.12 10,139,144 No 4 S Indirect See Footnote
Class A Common Stock Disposition 2021-03-09 3,700 $88.05 10,135,444 No 4 S Indirect See Footnote
Class A Common Stock Disposition 2021-03-10 83,817 $83.68 10,051,627 No 4 S Indirect See Footnote
Class A Common Stock Disposition 2021-03-10 195,261 $84.46 9,856,366 No 4 S Indirect See Footnote
Class A Common Stock Disposition 2021-03-10 31,162 $85.21 9,825,204 No 4 S Indirect See Footnote
Class A Common Stock Disposition 2021-03-10 27,503 $86.41 9,797,701 No 4 S Indirect See Footnote
Class A Common Stock Disposition 2021-03-10 3,400 $87.67 9,794,301 No 4 S Indirect See Footnote
Class A Common Stock Disposition 2021-03-10 15 $88.15 9,794,286 No 4 S Indirect See Footnote
Equity Swap Involved Form Type Code Nature of Ownership Explanation
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
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
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
No 4 S Indirect See Footnote
No 4 S Indirect See Footnote
Reported Derivative Transactions
Sec. Name Sec. Type Acquisiton - Disposition Date Amount Price Amount - 2 Price - 2
Class A Common Stock Class B Common Stock Disposition 2021-01-15 331 $0.00 331 $0.00
Class A Common Stock Class B Common Stock Disposition 2021-01-15 331 $0.00 331 $0.00
Class A Common Stock Class B Common Stock Disposition 2021-01-15 473 $0.00 473 $0.00
Class A Common Stock Class B Common Stock Disposition 2021-01-15 473 $0.00 473 $0.00
Class A Common Stock Class B Common Stock Disposition 2021-01-15 156 $0.00 156 $0.00
Class A Common Stock Class B Common Stock Disposition 2021-01-15 156 $0.00 156 $0.00
Class A Common Stock Class B Common Stock Disposition 2021-01-15 270 $0.00 270 $0.00
Class A Common Stock Class B Common Stock Disposition 2021-01-15 270 $0.00 270 $0.00
Class A Common Stock Class B Common Stock Acquisiton 2021-01-15 2,460 $0.00 2,460 $0.00
Remaning Holdings Exercise Date Expiration Date Equity Swap Involved Transaction Form Type Transaction Code Nature of Ownership
43,047 No 5 G Indirect
43,047 No 5 G Indirect
82,109 No 5 G Indirect
82,109 No 5 G Indirect
23,758 No 5 G Indirect
23,758 No 5 G Indirect
18,353 No 5 G Indirect
328,353 No 5 G Indirect
2,032,748 No 5 G Indirect
Reported Non-Derivative Holdings
Sec. Name Remaning Holdings Nature of Ownership Explanation
Class A Common Stock 2,175,666 Direct
Class A Common Stock 9,216 Indirect See Footnote
Class A Common Stock 170,294 Indirect See Footnote
Class A Common Stock 72,695 Indirect See Footnote
Class A Common Stock 1,237,115 Indirect See Footnote
Reported Derivative Holdings
Sec. Name Sec. Type Price Date Expiration Date Amount Remaning Holdings Nature of Ownership
Class A Common Stock Class B Common Stock $0.00 500,000 500,000 Indirect
Class A Common Stock Class B Common Stock $0.00 19,009 19,009 Indirect
Class A Common Stock Class B Common Stock $0.00 19,009 19,009 Indirect
Class A Common Stock Class B Common Stock $0.00 10,250 10,250 Indirect
Class A Common Stock Class B Common Stock $0.00 10,250 10,250 Indirect
Expiration Date Amount Remaning Holdings Nature of Ownership
500,000 500,000 Indirect
19,009 19,009 Indirect
19,009 19,009 Indirect
10,250 10,250 Indirect
10,250 10,250 Indirect
Footnotes
  1. The shares are held by The Siebel Living Trust u/a/d 7/27/93, a amended, of which the Reporting Person is trustee.
  2. Represents weighted average sales price. The shares were sold at prices ranging from $85.00 to $85.99. The Reporting Person will provide upon request, to the SEC, the Issuer or security holder of the Issuer, full information regarding the number of shares sold at each separate price.
  3. Represents weighted average sales price. The shares were sold at prices ranging from $86.00 to $86.99. The Reporting Person will provide upon request, to the SEC, the Issuer or security holder of the Issuer, full information regarding the number of shares sold at each separate price.
  4. Represents weighted average sales price. The shares were sold at prices ranging from $87.00 to $87.99. The Reporting Person will provide upon request, to the SEC, the Issuer or security holder of the Issuer, full information regarding the number of shares sold at each separate price.
  5. Represents weighted average sales price. The shares were sold at prices ranging from $88.00 to $88.81. The Reporting Person will provide upon request, to the SEC, the Issuer or security holder of the Issuer, full information regarding the number of shares sold at each separate price.
  6. Represents weighted average sales price. The shares were sold at prices ranging from $89.00 to $89.92. The Reporting Person will provide upon request, to the SEC, the Issuer or security holder of the Issuer, full information regarding the number of shares sold at each separate price.
  7. Represents weighted average sales price. The shares were sold at prices ranging from $90.00 to $90.99. The Reporting Person will provide upon request, to the SEC, the Issuer or security holder of the Issuer, full information regarding the number of shares sold at each separate price.
  8. Represents weighted average sales price. The shares were sold at prices ranging from $91.00 to $91.98. The Reporting Person will provide upon request, to the SEC, the Issuer or security holder of the Issuer, full information regarding the number of shares sold at each separate price.
  9. Represents weighted average sales price. The shares were sold at prices ranging from $92.00 to $92.50. The Reporting Person will provide upon request, to the SEC, the Issuer or security holder of the Issuer, full information regarding the number of shares sold at each separate price.
  10. Represents weighted average sales price. The shares were sold at prices ranging from $83.70 to $84.69. The Reporting Person will provide upon request, to the SEC, the Issuer or security holder of the Issuer, full information regarding the number of shares sold at each separate price.
  11. Represents weighted average sales price. The shares were sold at prices ranging from $84.70 to $85.69. The Reporting Person will provide upon request, to the SEC, the Issuer or security holder of the Issuer, full information regarding the number of shares sold at each separate price.
  12. Represents weighted average sales price. The shares were sold at prices ranging from $85.70 to $86.68. The Reporting Person will provide upon request, to the SEC, the Issuer or security holder of the Issuer, full information regarding the number of shares sold at each separate price.
  13. Represents weighted average sales price. The shares were sold at prices ranging from $86.70 to $87.62. The Reporting Person will provide upon request, to the SEC, the Issuer or security holder of the Issuer, full information regarding the number of shares sold at each separate price.
  14. Represents weighted average sales price. The shares were sold at prices ranging from $87.75 to $88.30. The Reporting Person will provide upon request, to the SEC, the Issuer or security holder of the Issuer, full information regarding the number of shares sold at each separate price.
  15. Represents weighted average sales price. The shares were sold at prices ranging from $83.00 to $83.99. The Reporting Person will provide upon request, to the SEC, the Issuer or security holder of the Issuer, full information regarding the number of shares sold at each separate price.
  16. Represents weighted average sales price. The shares were sold at prices ranging from $84.00 to $84.99. The Reporting Person will provide upon request, to the SEC, the Issuer or security holder of the Issuer, full information regarding the number of shares sold at each separate price.
  17. Represents weighted average sales price. The shares were sold at prices ranging from $85.00 to $85.98. The Reporting Person will provide upon request, to the SEC, the Issuer or security holder of the Issuer, full information regarding the number of shares sold at each separate price.
  18. Represents weighted average sales price. The shares were sold at prices ranging from $86.00 to $86.86. The Reporting Person will provide upon request, to the SEC, the Issuer or security holder of the Issuer, full information regarding the number of shares sold at each separate price.
  19. Represents weighted average sales price. The shares were sold at prices ranging from $87.02 to $87.96. The Reporting Person will provide upon request, to the SEC, the Issuer or security holder of the Issuer, full information regarding the number of shares sold at each separate price.
  20. The shares are held by First Virtual Holdings, LLC, of which the Reporting Person is Chairman.
  21. The shares are held by Siebel Asset Management, L.P., of which the Reporting Person is the general partner.
  22. The shares are held by Siebel Asset Management III, L.P., of which the Reporting Person is the general partner.
  23. The shares are held by The Siebel 2011 Irrevocable Children's Trust, of which the Reporting Person is co-trustee.
  24. Immediately upon the closing of the Issuer's initial public offering, all shares of Series A* Convertible Preferred Stock automatically converted into shares of Class B Common Stock and had no expiration date.
  25. On January 25, 2021, shares held by the annuity trust were transferred to The Siebel Living Trust u/a/d 7/27/1983 to satisfy annuity payments.
  26. The shares are held by The Siebel 2013 Annuity Trust I u/a/d 10/8/2013, of which the Reporting Person is the trustee.
  27. The shares are held by The Siebel 2013 Annuity Trust II u/a/d 10/8/2013, of which the Reporting Person is the trustee.
  28. The shares are held by The Siebel 2014 Annuity Trust I u/a/d 10/22/2014, of which the Reporting Person is the trustee.
  29. The shares are held by The Siebel 2014 Annuity Trust II u/a/d 10/22/2014, of which the Reporting Person is the trustee.
  30. The shares are held by The Siebel 2017 Annuity Trust I u/a/d 11/28/2017, of which the Reporting Person is the trustee.
  31. The shares are held by The Siebel 2017 Annuity Trust II u/a/d 11/28/2017, of which the Reporting Person is the trustee.
  32. The shares are held by The Siebel 2018 Annuity Trust I u/a/d 12/13/2018, of which the Reporting Person is the trustee.
  33. The shares are held by The Siebel 2018 Annuity Trust II u/a/d 12/18/2018, of which the Reporting Person is the trustee.
  34. On January 25, 2021, these shares that were held by related annuity trusts were transferred to The Siebel Living Trust u/a/d 7/27/1983 to satisfy annuity payments.
  35. The shares are held by The Siebel 2020 Annuity Trust I u/a/d 3/4/2020, of which the Reporting Person is the trustee.
  36. The shares are held by The Siebel 2020 Annuity Trust II u/a/d 3/4/2020, of which the Reporting Person is the trustee.
  37. The shares are held by The Siebel 2020 Annuity Trust III u/a/d 12/3/2020, of which the Reporting Person is the trustee.
  38. The shares are held by The Siebel 2020 Annuity Trust IV u/a/d 12/3/2020, of which the Reporting Person is the trustee.