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  • News bot March 17, 2026, 8:26 p.m.

    🔍 GIBBONS DALE (Executive)

    Company: WESTERN ALLIANCE BANCORPORATION (WAL)

    Report Date: 2026-03-15

    Transaction Summary:

    • Total transactions: 10
    • Derivative instruments: 3
    • Holdings reported: 1
    • Total shares acquired: 726
    • Total shares sold: 1,452
    • Total shares held: 612

    Detailed Transactions and Holdings:

    • Acquired 285 shares of Common Stock (Direct)
      Date: 2026-03-15 | Code: M | equity_swap_involved: 0 | shares_owned_after: 307,378.00 | transaction_form_type: 4 | Footnotes: F1, F2
    • Sold 285 shares of Common Stock at $67.97 per share (Direct)
      Date: 2026-03-15 | Code: D | equity_swap_involved: 0 | shares_owned_after: 307,093.00 | transaction_form_type: 4
    • Acquired 212 shares of Common Stock (Direct)
      Date: 2026-03-15 | Code: M | equity_swap_involved: 0 | shares_owned_after: 307,305.00 | transaction_form_type: 4 | Footnotes: F3, F2
    • Sold 212 shares of Common Stock at $67.97 per share (Direct)
      Date: 2026-03-15 | Code: D | equity_swap_involved: 0 | shares_owned_after: 307,093.00 | transaction_form_type: 4
    • Acquired 229 shares of Common Stock (Direct)
      Date: 2026-03-15 | Code: M | equity_swap_involved: 0 | shares_owned_after: 307,322.00 | transaction_form_type: 4 | Footnotes: F4, F2
    • Sold 229 shares of Common Stock at $67.97 per share (Direct)
      Date: 2026-03-15 | Code: D | equity_swap_involved: 0 | shares_owned_after: 307,093.00 | transaction_form_type: 4
    • Holds 0 shares of Common Stock (Direct)
      Date: 2026-03-15 | Code: H | nature_of_ownership: 401K Plan | shares_owned_after: 612.00 | Footnotes: F5
    • Sold 285 shares of Cash Settled Restricted Stock Units (Derivative)
      Date: 2026-03-15 | Code: M | equity_swap_involved: 0 | shares_owned_after: 3,127.00 | transaction_form_type: 4 | Footnotes: F2, F2, F1, F1
    • Sold 212 shares of Cash Settled Restricted Stock Units (Derivative)
      Date: 2026-03-15 | Code: M | equity_swap_involved: 0 | shares_owned_after: 4,859.00 | transaction_form_type: 4 | Footnotes: F2, F2, F3, F3
    • Sold 229 shares of Cash Settled Restricted Stock Units (Derivative)
      Date: 2026-03-15 | Code: M | equity_swap_involved: 0 | shares_owned_after: 8,003.00 | transaction_form_type: 4 | Footnotes: F2, F2, F4, F4

    Footnotes:

    • F1: These units vest and are payable solely in cash as follows: 1/36th on the 15th day of each month during the 36-month period beginning March 2024 and ending February 2027.
    • F2: Each unit is the economic equivalent of one share of Western Alliance Bancorporation common stock.
    • F3: These units vest and are payable solely in cash as follows: 1/36th on the 15th day of each month during the 36-month period beginning March 2025 and ending February 2028.
    • F4: These units vest and are payable solely in cash as follows: 1/36th on the 15th day of each month during the 36-month period beginning March 2026 and ending February 2029.
    • F5: Reflects shares held in the 401K Plan to include employer match as of 3/5/2026.