|
Table II - Derivative Securities Acquired, Disposed of, or Beneficially Owned
(
e.g.
, puts, calls, warrants, options, convertible securities)
1. Title of Derivative Security
(Instr. 3)
|
2. Conversion or Exercise Price of Derivative Security
|
3. Transaction Date (MM/DD/YY)
|
3A. Deemed Execution Date, if any (MM/DD/YY)
|
4. Transaction Code
(Instr. 8)
|
5. Number of Derivative Securities Acquired (A) or Disposed of (D)
(Instr. 3, 4, and 5)
|
6. Date Exercisable and Expiration Date
(MM/DD/YY)
|
7. Title and Amount of Underlying Securities
(Instr. 3 and 4)
|
8. Price of Derivative Security
(Instr. 5)
|
9. Number of Derivative Securities Beneficially Owned Following Reported Transaction(s)
(Instr. 4)
|
10. Ownership Form of Derivative Security: Direct (D) or Indirect (I)
(Instr. 4)
|
11. Nature of Indirect Beneficial Ownership
(Instr. 4)
|
Code
|
V
|
(A)
|
(D)
|
Date Exercisable
|
Expiration Date
|
Title
|
Amount or Number of Shares
|
Call Option (right to buy) |
$
27.78 |
03/07/2017 |
|
X(
7
) |
|
|
937,523 |
01/09/2017 |
03/09/2017 |
Purchase Contract |
937,523 |
$
0 |
0 |
I |
See footnotes (
1
) (
3
) (
4
) (
5
) |
Call Option (right to buy) |
$
27.98 |
03/07/2017 |
|
X(
7
) |
|
|
981,688 |
01/10/2017 |
03/10/2017 |
Purchase Contract |
981,688 |
$
0 |
0 |
I |
See footnotes (
1
) (
3
) (
4
) (
5
) |
Call Option (right to buy) |
$
28.36 |
03/07/2017 |
|
X(
7
) |
|
|
2,791,487 |
01/11/2017 |
03/10/2017 |
Purchase Contract |
2,791,487 |
$
0 |
0 |
I |
See footnotes (
1
) (
3
) (
4
) (
5
) |
Call Option (right to buy) |
$
28.53 |
03/07/2017 |
|
X(
7
) |
|
|
2,488,348 |
01/12/2017 |
03/13/2017 |
Purchase Contract |
2,488,348 |
$
0 |
0 |
I |
See footnotes (
1
) (
3
) (
4
) (
5
) |
Call Option (right to buy) |
$
28.77 |
03/07/2017 |
|
X(
7
) |
|
|
3,138,792 |
01/13/2017 |
03/13/2017 |
Purchase Contract |
3,138,792 |
$
0 |
0 |
I |
See footnotes (
1
) (
3
) (
4
) (
5
) |
Call Option (right to buy) |
$
28.51 |
03/07/2017 |
|
X(
7
) |
|
|
1,725,483 |
01/17/2017 |
03/17/2017 |
Purchase Contract |
1,725,483 |
$
0 |
0 |
I |
See footnotes (
1
) (
3
) (
4
) (
5
) |
Call Option (right to buy) |
$
27.73 |
03/07/2017 |
|
X(
7
) |
|
|
1,706,179 |
01/18/2017 |
03/17/2017 |
Purchase Contract |
1,706,179 |
$
0 |
0 |
I |
See footnotes (
1
) (
3
) (
4
) (
5
) |
Purchase contract (obligation to buy) |
$
37.56 |
03/07/2017 |
|
X(
8
) |
|
937,523 |
|
03/07/2017 |
03/07/2019 |
Common Stock |
937,523 |
$
0 |
937,523 |
I |
See footnotes (
1
) (
3
) (
4
) (
5
) |
Purchase contract (obligation to buy) |
$
37.83 |
03/07/2017 |
|
X(
8
) |
|
981,688 |
|
03/07/2017 |
03/07/2019 |
Common Stock |
981,688 |
$
0 |
981,688 |
I |
See footnotes (
1
) (
3
) (
4
) (
5
) |
Purchase contract (obligation to buy) |
$
38.35 |
03/07/2017 |
|
X(
8
) |
|
2,791,487 |
|
03/07/2017 |
03/07/2019 |
Common Stock |
2,791,487 |
$
0 |
2,791,487 |
I |
See footnotes (
1
) (
3
) (
4
) (
5
) |
Purchase contract (obligation to buy) |
$
38.57 |
03/07/2017 |
|
X(
8
) |
|
2,488,348 |
|
03/07/2017 |
03/07/2019 |
Common Stock |
2,488,348 |
$
0 |
2,488,348 |
I |
See footnotes (
1
) (
3
) (
4
) (
5
) |
Purchase contract (obligation to buy) |
$
38.9 |
03/07/2017 |
|
X(
8
) |
|
3,138,792 |
|
03/07/2017 |
03/07/2019 |
Common Stock |
3,138,792 |
$
0 |
3,138,792 |
I |
See footnotes (
1
) (
3
) (
4
) (
5
) |
Purchase contract (obligation to buy) |
$
38.55 |
03/07/2017 |
|
X(
8
) |
|
1,725,483 |
|
03/07/2017 |
03/07/2019 |
Common Stock |
1,725,483 |
$
0 |
1,725,483 |
I |
See footnotes (
1
) (
3
) (
4
) (
5
) |
Purchase contract (obligation to buy) |
$
37.49 |
03/07/2017 |
|
X(
8
) |
|
1,706,179 |
|
03/07/2017 |
03/07/2019 |
Common Stock |
1,706,179 |
$
0 |
1,706,179 |
I |
See footnotes (
1
) (
3
) (
4
) (
5
) |
Purchase contract (obligation to buy) |
$
37.56 |
03/07/2017 |
|
S(
9
) |
|
|
427,013 |
03/07/2017 |
03/07/2019 |
Common Stock |
510,511 |
$
48.58 |
510,511 |
I |
See footnotes (
1
) (
3
) (
4
) (
5
) |
Purchase contract (obligation to buy) |
$
38.55 |
03/07/2017 |
|
S(
9
) |
|
|
570,686 |
03/07/2017 |
03/07/2019 |
Common Stock |
1,154,797 |
$
48.58 |
1,154,797 |
I |
See footnotes (
1
) (
3
) (
4
) (
5
) |
Purchase contract (obligation to buy) |
$
37.49 |
03/07/2017 |
|
S(
9
) |
|
|
305,027 |
03/07/2017 |
03/07/2019 |
Common Stock |
1,401,152 |
$
48.58 |
1,401,152 |
I |
See footnotes (
1
) (
3
) (
4
) (
5
) |
Purchase contract (obligation to buy) |
$
30.9 |
03/07/2017 |
|
X |
|
|
1,201,138 |
10/07/2016 |
10/09/2018 |
Common Stock |
1,201,138 |
$
0 |
0 |
I |
See footnotes (
1
) (
3
) (
4
) (
5
) |
Purchase contract (obligation to buy) |
$
30.85 |
03/07/2017 |
|
X |
|
|
1,276,136 |
10/10/2016 |
10/10/2018 |
Common Stock |
1,276,136 |
$
0 |
0 |
I |
See footnotes (
1
) (
3
) (
4
) (
5
) |
Purchase contract (obligation to buy) |
$
30.5 |
03/07/2017 |
|
X |
|
|
2,013,062 |
12/09/2016 |
12/07/2018 |
Common Stock |
2,013,062 |
$
0 |
0 |
I |
See footnotes (
1
) (
3
) (
4
) (
5
) |
Purchase contract (obligation to buy) |
$
30.23 |
03/07/2017 |
|
X |
|
|
2,377,838 |
12/12/2016 |
12/12/2018 |
Common Stock |
2,377,838 |
$
0 |
0 |
I |
See footnotes (
1
) (
3
) (
4
) (
5
) |
|
|