PG
Peters Gregory K Director
Board M
US US · SEC (Form 4)
€442,324
▲ Purchases (1 ops.)
Explore the detailed record of transactions filed by Peters Gregory K, Director. Director active across 3 companies, notably 2U, Inc.. Cumulatively, 15 disclosures have been recorded. Total volume traded: €442k. The latest transaction was disclosed on 12 May 2022 — Attribution. Regulator: SEC (Form 4). All data is openly available.
Declarations 15 total
021,246 shares 0
Common Stock
SEC:0001415889-22-004949:0 · 12 May 2022
02,837 shares 0
Class A Common Stock
SEC:0001209191-22-012314:0 · 20 Feb 2022
€442,324 49,663 shares @ €8.9065 100.0% of flow
Common Stock
SEC:0001179110-22-001337:0 · 15 Feb 2022
Ideal exit: 12 Nov 2022 (T+270) €602,673 7,058 shares @ €85.3886 0.0002% mcap 20.5% of flow
Common Stock
SEC:0001065280-21-000409 · 17 Nov 2021
€602,673 7,058 shares @ €85.3886 0.0002% mcap 10.2% of flow
Common Stock
SEC:0001065280-21-000409:0 · 17 Nov 2021
€587,553 6,721 shares @ €87.4204 0.0001% mcap 20.0% of flow
Common Stock
SEC:0001065280-21-000367 · 25 Oct 2021
€587,553 6,721 shares @ €87.4204 0.0001% mcap 10.0% of flow
Common Stock
SEC:0001065280-21-000367:0 · 25 Oct 2021
€586,996 7,329 shares @ €80.0923 0.0001% mcap 20.0% of flow
Common Stock
SEC:0001065280-21-000365 · 21 Oct 2021
€586,996 7,329 shares @ €80.0923 0.0001% mcap 10.0% of flow
Common Stock
SEC:0001065280-21-000365:0 · 21 Oct 2021
€587,250 6,455 shares @ €90.976 0.0001% mcap 20.0% of flow
Common Stock
SEC:0001065280-21-000360 · 4 Oct 2021
€587,250 6,455 shares @ €90.976 0.0001% mcap 10.0% of flow
Common Stock
SEC:0001065280-21-000360:0 · 4 Oct 2021
€576,093 6,941 shares @ €82.9986 0.0001% mcap 19.6% of flow
Common Stock
SEC:0001065280-21-000318 · 7 Sept 2021
€576,093 6,941 shares @ €82.9986 0.0001% mcap 9.8% of flow
Common Stock
SEC:0001065280-21-000318:0 · 7 Sept 2021
06,054 shares 0
Common Stock
SEC:0001209191-21-031088 · 5 May 2021
06,054 shares 0
Common Stock
SEC:0001209191-21-031088:0 · 5 May 2021
About Peters Gregory K Gregory K Peters is an executive at 2U, Inc.