Filing Details

Accession Number:
0000865752-24-000052
Form Type:
4
Zero Holdings:
No
Publication Time:
2024-06-13 21:19:28
Reporting Period:
2024-06-11
Accepted Time:
2024-06-13 21:19:28
SEC Url:
Form 4 Filing
Issuer
Cik Name Symbol Sector (SIC) IRS No
865752 Monster Beverage Corp MNST Bottled & Canned Soft Drinks & Carbonated Waters (2086) 471809393
Insiders
Cik Name Reported Address Insider Title Director Officer Large Shareholder Other
1284352 H Hilton Schlosberg 1 Monster Way
Corona CA 92879
Vice Chairman And Co-Ceo No 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 Disposition 2024-06-11 42,144 $53.00 1,875,558 No 4 S Direct
Common Stock Disposition 2024-06-11 85,247 $53.00 276,109 No 4 S Indirect By Hilrod Holdings XV, L.P.
Common Stock Disposition 2024-06-11 207,022 $53.00 231,754 No 4 S Indirect By Hilrod Holdings XVIII, L.P.
Common Stock Disposition 2024-06-11 38,962 $53.00 43,618 No 4 S Indirect By Hilrod Holdings XXIII, L.P.
Equity Swap Involved Form Type Code Nature of Ownership Explanation
No 4 S Direct
No 4 S Indirect By Hilrod Holdings XV, L.P.
No 4 S Indirect By Hilrod Holdings XVIII, L.P.
No 4 S Indirect By Hilrod Holdings XXIII, L.P.
Reported Non-Derivative Holdings
Sec. Name Remaning Holdings Nature of Ownership Explanation
Common Stock 11,291,136 Indirect By Brandon Limited Partnership No. 1
Common Stock 58,773,888 Indirect By Brandon Limited Partnership No. 2
Common Stock 489,124 Indirect By Hilrod Holdings XXIV, L.P.
Common Stock 268,000 Indirect By Hilrod Holdings XXV, L.P.
Reported Derivative Holdings
Sec. Name Sec. Type Price Date Expiration Date Amount Remaning Holdings Nature of Ownership
Common Stock Employee Stock Option (right to buy) $22.58 2025-03-13 0 4,428 Direct
Common Stock Employee Stock Option (right to buy) $21.99 2026-03-14 0 4,542 Direct
Common Stock Employee Stock Option (right to buy) $21.99 2026-03-14 0 194,514 Indirect
Common Stock Employee Stock Option (right to buy) $21.99 2026-03-14 0 430,944 Indirect
Common Stock Employee Stock Option (right to buy) $23.14 2027-03-14 0 4,326 Direct
Common Stock Employee Stock Option (right to buy) $23.14 2027-03-14 0 49,926 Indirect
Common Stock Employee Stock Option (right to buy) $23.14 2027-03-14 0 153,742 Indirect
Common Stock Employee Stock Option (right to buy) $23.14 2027-03-14 0 403,006 Indirect
Common Stock Employee Stock Option (right to buy) $29.37 2028-03-14 0 3,404 Direct
Common Stock Employee Stock Option (right to buy) $29.37 2028-03-14 0 172,596 Indirect
Common Stock Employee Stock Option (right to buy) $29.37 2028-03-14 0 352,000 Indirect
Common Stock Employee Stock Option (right to buy) $29.84 2029-03-14 0 194,400 Direct
Common Stock Employee Stock Option (right to buy) $29.84 2029-03-14 0 194,400 Indirect
Common Stock Employee Stock Option (right to buy) $29.84 2029-03-14 0 194,400 Indirect
Common Stock Employee Stock Option (right to buy) $31.20 2030-03-13 0 212,668 Direct
Common Stock Employee Stock Option (right to buy) $31.20 2030-03-13 0 170,132 Indirect
Common Stock Employee Stock Option (right to buy) $44.47 2031-03-12 0 259,800 Direct
Common Stock Employee Stock Option (right to buy) $36.62 2032-03-14 0 291,400 Direct
Common Stock Employee Stock Option (right to buy) $50.82 2033-03-14 0 183,000 Direct
Common Stock Employee Stock Option (right to buy) $60.30 2034-03-14 0 153,500 Direct
Common Stock Restricted Stock Units $0.00 0 30,734 Direct
Common Stock Restricted Stock Units $0.00 0 45,068 Direct
Common Stock Restricted Stock Units $0.00 0 58,000 Direct
Expiration Date Amount Remaning Holdings Nature of Ownership
2025-03-13 0 4,428 Direct
2026-03-14 0 4,542 Direct
2026-03-14 0 194,514 Indirect
2026-03-14 0 430,944 Indirect
2027-03-14 0 4,326 Direct
2027-03-14 0 49,926 Indirect
2027-03-14 0 153,742 Indirect
2027-03-14 0 403,006 Indirect
2028-03-14 0 3,404 Direct
2028-03-14 0 172,596 Indirect
2028-03-14 0 352,000 Indirect
2029-03-14 0 194,400 Direct
2029-03-14 0 194,400 Indirect
2029-03-14 0 194,400 Indirect
2030-03-13 0 212,668 Direct
2030-03-13 0 170,132 Indirect
2031-03-12 0 259,800 Direct
2032-03-14 0 291,400 Direct
2033-03-14 0 183,000 Direct
2034-03-14 0 153,500 Direct
0 30,734 Direct
0 45,068 Direct
0 58,000 Direct
Footnotes
  1. Represents shares tendered by the reporting person and accepted for purchase by the Company in the modified "Dutch auction" tender offer commenced by the Company on May 8, 2024. The Company announced the final results of the tender offer on June 10, 2024.
  2. Reporting person (i) is one of the general partners of each of Brandon Limited Partnership No. 1, Brandon Limited Partnership No. 2, Hilrod Holdings XV, L.P., Hilrod Holdings XVIII, L.P., Hilrod Holdings XXIII, L.P., Hilrod Holdings XXIV, L.P., Hilrod Holdings XXV, L.P. and Hilrod Holdings XXVI, L.P. and (ii) disclaims beneficial ownership of these securities except to the extent of his pecuniary interest therein.
  3. The options are currently vested.
  4. No transaction is being reported at this time. This line is only reporting holdings as of the date hereof.
  5. The options are currently vested with respect to 194,266 shares. The remaining options vest on March 14, 2025.
  6. The options are currently vested with respect to 61,000 shares. The remaining options vest in two equal installments on March 14, 2025 and 2026.
  7. The options vest in three installments as follows: 51,167 shares on March 14, 2025; 51,167 shares on March 14, 2026 and 51,166 shares on March 14, 2027.
  8. The restricted stock units were granted under the 2020 Omnibus Incentive Plan. Each restricted stock unit represents a contingent right to receive one share of the Company's common stock as of the vesting date.
  9. The remaining restricted stock units vest on March 14, 2025.
  10. Not applicable.
  11. The remaining restricted stock units vest in two equal installments on March 14, 2025 and March 14, 2026.
  12. The restricted stock units vest in three installments as follows: 19,333 units on March 14, 2025, 19,333 units on March 14, 2026 and 19,334 units on March 14, 2027.