Kiniksa Pharmaceuticals (KNSA)

Megna Michael R 🟡 adjusted position in 16.1K shares (7 derivative) of Kiniksa Pharmaceuticals International, plc (KNSA) at $34.84 ($1.6M) Transaction Date: Sep 01, 2025 | Filing ID: 023564

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  • News bot Sept. 3, 2025, 8:57 p.m.

    🔍 Megna Michael R (Executive)

    Company: Kiniksa Pharmaceuticals International, plc (KNSA)

    Report Date: 2025-09-01

    Transaction Summary:

    • Total transactions: 15
    • Derivative instruments: 7
    • Holdings reported: 0
    • Total shares acquired: 52,352
    • Total shares sold: 36,284

    Detailed Transactions and Holdings:

    • Acquired 2,363 shares of Class A Ordinary Share (Direct)
      Date: 2025-09-01 | Code: M | equity_swap_involved: 0 | shares_owned_after: 35,404.00 | transaction_form_type: 4 | Footnotes: F1
    • Acquired 2,557 shares of Class A Ordinary Share (Direct)
      Date: 2025-09-01 | Code: M | equity_swap_involved: 0 | shares_owned_after: 37,961.00 | transaction_form_type: 4 | Footnotes: F1
    • Acquired 3,933 shares of Class A Ordinary Share (Direct)
      Date: 2025-09-01 | Code: M | equity_swap_involved: 0 | shares_owned_after: 41,894.00 | transaction_form_type: 4 | Footnotes: F1
    • Sold 4,282 shares of Class A Ordinary Share at $33.49 per share (Direct)
      Date: 2025-09-01 | Code: F | equity_swap_involved: 0 | shares_owned_after: 37,612.00 | transaction_form_type: 4
    • Acquired 774 shares of Class A Ordinary Share (Direct)
      Date: 2025-09-02 | Code: M | equity_swap_involved: 0 | shares_owned_after: 38,386.00 | transaction_form_type: 4 | Footnotes: F1
    • Sold 375 shares of Class A Ordinary Share at $34.28 per share (Direct)
      Date: 2025-09-02 | Code: F | equity_swap_involved: 0 | shares_owned_after: 38,011.00 | transaction_form_type: 4
    • Acquired 11,000 shares of Class A Ordinary Share at $17.92 per share (Direct)
      Date: 2025-09-03 | Code: M | equity_swap_involved: 0 | shares_owned_after: 49,011.00 | transaction_form_type: 4 | Footnotes: F2
    • Sold 11,000 shares of Class A Ordinary Share at $34.84 per share (Direct)
      Date: 2025-09-03 | Code: S | equity_swap_involved: 0 | shares_owned_after: 38,011.00 | transaction_form_type: 4 | Footnotes: F2, F3
    • Acquired 10,575 shares of Restricted Share Unit (Derivative)
      Date: 2025-09-01 | Code: A | equity_swap_involved: 0 | shares_owned_after: 10,575.00 | transaction_form_type: 4 | Footnotes: F1, F4, F4
    • Acquired 21,150 shares of Share Option at $33.49 per share (Derivative)
      Date: 2025-09-01 | Code: A | Expires: 2035-08-31 | equity_swap_involved: 0 | shares_owned_after: 21,150.00 | transaction_form_type: 4 | Footnotes: F5
    • Sold 2,363 shares of Restricted Share Unit (Derivative)
      Date: 2025-09-01 | Code: M | equity_swap_involved: 0 | shares_owned_after: 7,087.00 | transaction_form_type: 4 | Footnotes: F1, F6, F6
    • Sold 2,557 shares of Restricted Share Unit (Derivative)
      Date: 2025-09-01 | Code: M | equity_swap_involved: 0 | shares_owned_after: 5,115.00 | transaction_form_type: 4 | Footnotes: F1, F7, F7
    • Sold 3,933 shares of Restricted Share Unit (Derivative)
      Date: 2025-09-01 | Code: M | equity_swap_involved: 0 | shares_owned_after: 3,932.00 | transaction_form_type: 4 | Footnotes: F1, F8, F8
    • Sold 774 shares of Restricted Share Unit (Derivative)
      Date: 2025-09-02 | Code: M | equity_swap_involved: 0 | transaction_form_type: 4 | Footnotes: F1, F9, F9
    • Sold 11,000 shares of Share Option at $17.92 per share (Derivative)
      Date: 2025-09-03 | Code: M | Expires: 2029-03-03 | equity_swap_involved: 0 | transaction_form_type: 4 | Footnotes: F2, F10

    Footnotes:

    • F1: Each Restricted Share Unit (RSU) represents a contingent right to receive one Class A Ordinary Share of the Issuer.
    • F2: This transaction was effected pursuant to a 10b5-1 plan executed by the reporting person on July 24, 2024.
    • F3: This transaction was executed in multiple trades through a broker-dealer at prices ranging between $34.80 and $35.005. The price reported in this column reflects a weighted average sales price. Upon request, the reporting person will provide to the SEC staff full information regarding the number of Shares sold at each price.
    • F4: The RSUs vest over a four-year period, with 25% of the RSUs vesting on each yearly anniversary of the date of grant, September 1, 2025.
    • F5: The option vests and becomes exercisable as to 25% of the total grant on the first anniversary of the vesting commencement date and vests in 36 equal monthly installments thereafter. The vesting commencement date is September 1, 2025.
    • F6: The RSUs vest over a four-year period, with 25% of the RSUs vesting on each yearly anniversary of the grant date, September 1, 2024.
    • F7: The RSUs vest over a four-year period, with 25% of the RSUs vesting on each yearly anniversary of the date of grant, September 1, 2023.
    • F8: The RSUs vest over a four-year period, with 25% of the RSUs vesting on each yearly anniversary of the date of grant, September 1, 2022.
    • F9: The RSUs vest over a four-year period, with 25% of the RSUs vesting on each yearly anniversary of the date of grant, September 2, 2021.
    • F10: The option is fully vested and Exercisable.