May 19
2022
|
SELL
Sale (or disposition) back to the issuer
|
-
|
28,821
Reduced 100.0%
|
0
Restricted Share Units
|
|
May 19
2022
|
SELL
Sale (or disposition) back to the issuer
|
-
|
16,795
Reduced 100.0%
|
0
Ordinary Shares
|
|
Apr 02
2022
|
SELL
Payment of exercise price or tax liability
|
$29,210
$79.59 p/Share
|
367
Reduced 29.36%
|
883
Restricted Share Units
|
|
Apr 02
2022
|
SELL
Exercise of conversion of derivative security
|
-
|
883
Reduced 100.0%
|
0
Restricted Share Units
|
|
Apr 01
2022
|
SELL
Payment of exercise price or tax liability
|
$223,648
$79.59 p/Share
|
2,810
Reduced 19.86%
|
11,341
Restricted Share Units
|
|
Apr 01
2022
|
SELL
Exercise of conversion of derivative security
|
-
|
6,743
Reduced 42.35%
|
9,180
Restricted Share Units
|
|
Apr 01
2022
|
BUY
Exercise of conversion of derivative security
|
-
|
7,626
Added 31.23%
|
16,795
Ordinary Shares
|
|
Jul 01
2021
|
BUY
Grant, award, or other acquisition
|
-
|
9,400
Added 50.0%
|
9,400
Restricted Share Units
|
|
Apr 02
2021
|
SELL
Exercise of conversion of derivative security
|
-
|
883
Reduced 41.4%
|
1,250
Restricted Share Units
|
|
Apr 02
2021
|
SELL
Payment of exercise price or tax liability
|
$14,992
$40.85 p/Share
|
367
Reduced 14.68%
|
2,133
Restricted Share Units
|
|
Apr 01
2021
|
SELL
Exercise of conversion of derivative security
|
-
|
4,583
Reduced 28.97%
|
11,235
Restricted Share Units
|
|
Apr 01
2021
|
SELL
Payment of exercise price or tax liability
|
$78,064
$40.85 p/Share
|
1,911
Reduced 12.1%
|
13,880
Restricted Share Units
|
|
Apr 01
2021
|
BUY
Grant, award, or other acquisition
|
-
|
12,239
Added 50.0%
|
12,239
Restricted Share Units
|
|
Apr 01
2021
|
BUY
Exercise of conversion of derivative security
|
-
|
5,466
Added 37.35%
|
9,169
Ordinary Shares
|
|