May 19
2022
|
SELL
Sale (or disposition) back to the issuer
|
-
|
33,327
Reduced 100.0%
|
0
Restricted Share Units
|
|
May 19
2022
|
SELL
Sale (or disposition) back to the issuer
|
-
|
9,435
Reduced 100.0%
|
0
Ordinary Shares
|
|
Apr 01
2022
|
SELL
Payment of exercise price or tax liability
|
$156,474
$79.59 p/Share
|
1,966
Reduced 15.4%
|
10,801
Restricted Share Units
|
|
Apr 01
2022
|
SELL
Exercise of conversion of derivative security
|
-
|
2,216
Reduced 19.45%
|
9,180
Restricted Share Units
|
|
Apr 01
2022
|
BUY
Exercise of conversion of derivative security
|
-
|
2,216
Added 19.02%
|
9,435
Ordinary Shares
|
|
Dec 01
2021
|
SELL
Payment of exercise price or tax liability
|
$224,287
$76.34 p/Share
|
2,938
Reduced 15.67%
|
15,812
Restricted Share Units
|
|
Dec 01
2021
|
SELL
Exercise of conversion of derivative security
|
-
|
3,312
Reduced 20.95%
|
12,500
Restricted Share Units
|
|
Dec 01
2021
|
BUY
Exercise of conversion of derivative security
|
-
|
3,312
Added 31.45%
|
7,219
Ordinary Shares
|
|
Jul 01
2021
|
BUY
Grant, award, or other acquisition
|
-
|
9,400
Added 50.0%
|
9,400
Restricted Share Units
|
|
Apr 01
2021
|
SELL
Exercise of conversion of derivative security
|
-
|
595
Reduced 15.01%
|
3,370
Restricted Share Units
|
|
Apr 01
2021
|
SELL
Payment of exercise price or tax liability
|
$21,569
$40.85 p/Share
|
528
Reduced 11.75%
|
3,965
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
|
-
|
595
Added 13.22%
|
3,907
Ordinary Shares
|
|
Dec 01
2020
|
SELL
Payment of exercise price or tax liability
|
$132,798
$45.2 p/Share
|
2,938
Reduced 11.75%
|
22,062
Restricted Share Units
|
|
Dec 01
2020
|
SELL
Exercise of conversion of derivative security
|
-
|
3,312
Reduced 15.01%
|
18,750
Restricted Share Units
|
|
Dec 01
2020
|
BUY
Exercise of conversion of derivative security
|
-
|
3,312
Added 50.0%
|
3,312
Ordinary Shares
|
|