Filing Details
- Accession Number:
- 0001209191-12-026525
- Form Type:
- 4
- Zero Holdings:
- No
- Publication Time:
- 2012-05-08 14:20:35
- Reporting Period:
- 2012-05-07
- Filing Date:
- 2012-05-08
- Accepted Time:
- 2012-05-08 14:20:35
- SEC Url:
- Form 4 Filing
Issuer
Cik | Name | Symbol | Sector (SIC) | IRS No |
---|---|---|---|---|
1430602 | Scripps Networks Interactive Inc. | SNI | Cable & Other Pay Television Services (4841) | 611551890 |
Insiders
Cik | Name | Reported Address | Insider Title | Director | Officer | Large Shareholder | Other |
---|---|---|---|---|---|---|---|
1186947 | F John Lansing | 312 Walnut Street, 18Th Floor Cincinnati OH 45202 | President, Scripps Networks | No | 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 Shares, $.01 Par Value Per Share | Disposition | 2012-05-07 | 18,527 | $54.20 | 0 | No | 4 | S | Direct | |
Class A Common Shares, $.01 Par Value Per Share | Acquisiton | 2012-05-07 | 46,543 | $20.48 | 46,543 | No | 4 | M | Direct | |
Class A Common Shares, $.01 Par Value Per Share | Disposition | 2012-05-07 | 46,543 | $54.20 | 0 | No | 4 | S | Direct |
Equity Swap Involved | Form Type | Code | Nature of Ownership | Explanation |
---|---|---|---|---|
No | 4 | S | Direct | |
No | 4 | M | Direct | |
No | 4 | S | Direct |
Reported Derivative Transactions
Sec. Name | Sec. Type | Acquisiton - Disposition | Date | Amount | Price | Amount - 2 | Price - 2 |
---|---|---|---|---|---|---|---|
Class A Common | Option | Disposition | 2012-05-07 | 46,543 | $0.00 | 93,086 | $20.48 |
Remaning Holdings | Exercise Date | Expiration Date | Equity Swap Involved | Transaction Form Type | Transaction Code | Nature of Ownership |
---|---|---|---|---|---|---|
46,543 | 2010-02-19 | 2017-02-18 | No | 4 | M | Direct |
Reported Non-Derivative Holdings
Sec. Name | Remaning Holdings | Nature of Ownership | Explanation |
---|---|---|---|
Common Voting Shares, $.01 Par Value Per Share | 0 | Direct |
Reported Derivative Holdings
Sec. Name | Sec. Type | Price | Date | Expiration Date | Amount | Remaning Holdings | Nature of Ownership |
---|---|---|---|---|---|---|---|
Class A Common | Option | $39.44 | 2011-02-18 | 2018-02-17 | 48,924 | 48,924 | Direct |
Class A Common | Restricted Stock Units | $0.00 | 76,065 | 76,065 | Direct | ||
Class A Common | Option | $53.17 | 2012-02-17 | 2019-02-16 | 38,826 | 38,826 | Direct |
Class A Common | Restricted Stock Units | $0.00 | 6,094 | 6,094 | Direct | ||
Class A Common | Restricted Stock Units | $0.00 | 1,411 | 1,411 | Direct | ||
Class A Common | Restricted Stock Units | $0.00 | 11,172 | 11,172 | Direct | ||
Class A Common | Option | $43.59 | 2013-02-16 | 2020-02-15 | 47,092 | 47,092 | Direct |
Class A Common | Restricted Stock Units | $0.00 | 11,700 | 11,700 | Direct |
Expiration Date | Amount | Remaning Holdings | Nature of Ownership |
---|---|---|---|
2018-02-17 | 48,924 | 48,924 | Direct |
76,065 | 76,065 | Direct | |
2019-02-16 | 38,826 | 38,826 | Direct |
6,094 | 6,094 | Direct | |
1,411 | 1,411 | Direct | |
11,172 | 11,172 | Direct | |
2020-02-15 | 47,092 | 47,092 | Direct |
11,700 | 11,700 | Direct |
Footnotes
- Price reported is the average weighted price of shares sold. Shares were sold at varying prices in the range of $54.03 - $54.43. The reporting person hereby undertakes, upon request of the Commission, the issuer or a security holder of the issuer, to provide full information regarding the number of shares sold at each separate price.
- Each restricted stock unit represents a contingent right to receive one share of SNI Class A Common Shares.
- The restricted stock units vest 25% on March 29, 2013, 25% on March 29, 2014 and 50% on March 29, 2015.
- The restricted stock units vest in equal installments on 2/17/13 and 2/17/14.
- The restricted stock units vest on 2/17/13.
- The restricted stock units vest on 3/15/13.
- The restricted stock units vest in equal installments on 2/16/13, 2/16/14 and 2/16/15.