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Insider Information:   Dolan Kristin A
Relationship:  
City:   New York
State:   NY
   
Insider Summary:
  
   
Companies Owned :   6    
Direct Shares   1,067,298    

Indirect Shares

  31,106      
Direct Value   $69,320,915    

Indirect Value

  $2,216,969      
Total Shares   1,098,404      
Total Value   $71,537,884      


Amc Networks Inc.
 $19,950 Madison Square Garden Co
 $37,888,980 Wendys International Inc
 $955,482 Sphere Entertainment Co
 $30,456,503 Amc Networks Inc.
 $19,950 Madison Square Garden Co
 $37,888,980 Wendys International Inc
 $955,482 Sphere Entertainment Co
 $30,456,503
 


Historical Performance :
Based on 6 Month Return Percentages
Buys 
Sells 

     Total Filings :

    3   
    1    

     Stock price went up :

    2   
    0    
     Stock price went down :
    1   
    1    
   
     Gain/Loss Ratio :
   2.0   
   -1.0   
     Percentage Gain/Loss :
   -3.4%
 -37.2%
     
   
Holdings :
     Menu Company Name Ticker Relation Direct Date Direct Shares Indirect Date Indirect Shares Total Value Sold  
            MSG NETWORKS INC MSGN 10% Owner 2021-07-09 0 2021-07-09 0    Premium*  
            Cablevision Systems Corp CVC COO, Trustee of Member... 2016-06-21 0 2016-06-21 0    Premium*  
            Amc Networks Inc. AMCX Director 2021-03-05 1,250 2021-03-05 8,146    Premium*  
            Madison Square Garden Co MSG Director 2021-09-15 200,333 2021-09-15 8,095    Premium*  
            Wendys International Inc WEN Director 2024-04-03 51,370 2017-08-03 0    Premium*  
            Sphere Entertainment Co SPHR 2024-03-11 814,345 2024-03-11 14,865    Premium*  
* Premium Members only  

Records found :    165         Free Registration Required For Full Results.    Limit: 25

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  Page 7 of 7
Ticker Company Name Relation   Off-Dir-10% Trans. Date Form Action Price Mkt Value D/I Shares    Holdings   
Rank

 
3m +/-  
Form
AMCX Amc Networks Inc. Member of 13(d) Group   –       •      –    2012-12-12 4 S $52.08 $1,697,906 D/D (32,600) 92,250 0 -
AMCX Amc Networks Inc. Member of 13(d) Group   –       •      –    2012-12-13 4 S $51.10 $2,865,656 D/D (56,000) 92,250 0 -
AMCX Amc Networks Inc. Member of 13(d) Group   –       •      –    2012-12-14 4 S $50.88 $883,379 D/D (17,362) 92,250 0 -
AMCX Amc Networks Inc. Member of 13(d) Group   –       •      –    2012-12-17 4 S $50.93 $2,037,120 D/D (40,000) 92,250 0 -
AMCX Amc Networks Inc. Member of 13(d) Group   –       •      –    2012-12-18 4 S $50.73 $2,695,179 D/D (53,094) 92,250 0 -
AMCX Amc Networks Inc. Member of 13(d) Group   –       •      –    2012-12-19 4 S $49.60 $1,835,046 D/D (36,900) 92,250 0 -
AMCX Amc Networks Inc. Member of 13(d) Group   –       •      –    2012-12-20 4 S $49.55 $1,626,162 D/D (32,819) 92,250 0 -
AMCX Amc Networks Inc. Member of 13(d) Group   –       •      –    2012-12-21 4 S $49.07 $274,814 D/D (5,600) 92,250 0 -
CVC Cablevision Systems Corp COOTrustee of Member of 13D Gr   •       •      –    2014-08-07 4 S $18.36 $11,636,227 D/D (633,885) 1,105,766 0 -
CVC Cablevision Systems Corp COOTrustee of Member of 13D Gr   •       •      –    2014-08-08 4 S $17.98 $8,335,798 D/D (463,615) 1,105,766 0 -
AMCX Amc Networks Inc. Trustee of Member of 13D Group   –       •      –    2015-05-11 4 S $76.14 $1,809,895 D/D (23,770) 66,969 0 -
AMCX Amc Networks Inc. Trustee of Member of 13D Group   –       •      –    2015-05-12 4 S $75.57 $1,604,394 D/D (21,230) 66,969 0 -
CVC Cablevision Systems Corp COOTrustee of Member of 13D Gr   •       •      –    2015-06-04 4 S $23.82 $4,287,600 D/D (180,000) 985,611 0 -
AMCX Amc Networks Inc. Trustee of Member of 13D Group   –       •      –    2016-03-08 4 S $66.87 $4,348,006 D/D (65,000) 67,969 0 -
AMCX Amc Networks Inc. Member of 13(d) Group   –       •      –    2021-03-05 4 S $68.63 $4,599,466 D/D (66,719) 1,250 0 %

  165  Records found
  1   2   3   4   5   6   7     
  Page 7 of 7  
 
Free Registration Required For Full Results.    Limit: 25

 
 
  Transaction Code Key: Ownership Code Key
  B - Buy AB - Automatic Buy D - Direct Ownership
  S - Sell AS - Automatic Sell I - Indirect Ownership
OE - Options Exercised A - Aquired
  IO - Initital Ownership D - Disposed