Form 4 • Statement of Changes in Beneficial Ownership
Type
Sell
Net shares
-422
% of shares
-5.25%
Amount (USD)
$404,793
Insider confidence score
20.0 out of 100
Negative
Security
Common Stock
Action
Exercise
Date
2026-03-02
Code
M
Net shares
+436.0
Acquired/Disposed
Acquired
Shares Owned Before
6,907.809
Shares Owned After
7,343.809
Security
Common Stock
Action
Exercise
Date
2026-03-02
Code
M
Net shares
+348.0
Acquired/Disposed
Acquired
Shares Owned Before
7,343.809
Shares Owned After
7,691.809
Security
Common Stock
Action
Exercise
Date
2026-03-02
Code
M
Net shares
+347.0
Acquired/Disposed
Acquired
Shares Owned Before
7,691.809
Shares Owned After
8,038.809
Security
Common Stock
Action
Sell
Date
2026-03-03
Code
S
Net shares
-16.0
Price per Share
$942.26
Amount (USD)
$15,076.16
Acquired/Disposed
Disposed
Shares Owned Before
8,038.809
Shares Owned After
8,022.809
Security
Common Stock
Action
Sell
Date
2026-03-03
Code
S
Net shares
-0.5
Price per Share
$945.68
Amount (USD)
$472.84
Acquired/Disposed
Disposed
Shares Owned Before
8,022.809
Shares Owned After
8,022.309
Security
Common Stock
Action
Sell
Date
2026-03-03
Code
S
Net shares
-0.5
Price per Share
$946.98
Amount (USD)
$473.49
Acquired/Disposed
Disposed
Shares Owned Before
8,022.309
Shares Owned After
8,021.809
Security
Common Stock
Action
Sell
Date
2026-03-03
Code
S
Net shares
-4.0
Price per Share
$948.40
Amount (USD)
$3,793.58
Acquired/Disposed
Disposed
Shares Owned Before
8,021.809
Shares Owned After
8,017.809
Security
Common Stock
Action
Sell
Date
2026-03-03
Code
S
Net shares
-8.25
Price per Share
$949.75
Amount (USD)
$7,835.44
Acquired/Disposed
Disposed
Shares Owned Before
8,017.809
Shares Owned After
8,009.559
Security
Common Stock
Action
Sell
Date
2026-03-03
Code
S
Net shares
-9.25
Price per Share
$950.85
Amount (USD)
$8,795.33
Acquired/Disposed
Disposed
Shares Owned Before
8,009.559
Shares Owned After
8,000.309
Security
Common Stock
Action
Sell
Date
2026-03-03
Code
S
Net shares
-4.25
Price per Share
$951.93
Amount (USD)
$4,045.72
Acquired/Disposed
Disposed
Shares Owned Before
8,000.309
Shares Owned After
7,996.059
Security
Common Stock
Action
Sell
Date
2026-03-03
Code
S
Net shares
-11.25
Price per Share
$953.16
Amount (USD)
$10,723.10
Acquired/Disposed
Disposed
Shares Owned Before
7,996.059
Shares Owned After
7,984.809
Security
Common Stock
Action
Sell
Date
2026-03-03
Code
S
Net shares
-12.0
Price per Share
$954.19
Amount (USD)
$11,450.29
Acquired/Disposed
Disposed
Shares Owned Before
7,984.809
Shares Owned After
7,972.809
Security
Common Stock
Action
Sell
Date
2026-03-03
Code
S
Net shares
-25.0
Price per Share
$955.27
Amount (USD)
$23,881.72
Acquired/Disposed
Disposed
Shares Owned Before
7,972.809
Shares Owned After
7,947.809
Security
Common Stock
Action
Sell
Date
2026-03-03
Code
S
Net shares
-30.0
Price per Share
$956.24
Amount (USD)
$28,687.17
Acquired/Disposed
Disposed
Shares Owned Before
7,947.809
Shares Owned After
7,917.809
Security
Common Stock
Action
Sell
Date
2026-03-03
Code
S
Net shares
-35.0
Price per Share
$957.36
Amount (USD)
$33,507.54
Acquired/Disposed
Disposed
Shares Owned Before
7,917.809
Shares Owned After
7,882.809
Security
Common Stock
Action
Sell
Date
2026-03-03
Code
S
Net shares
-43.25
Price per Share
$958.36
Amount (USD)
$41,449.21
Acquired/Disposed
Disposed
Shares Owned Before
7,882.809
Shares Owned After
7,839.559
Security
Common Stock
Action
Sell
Date
2026-03-03
Code
S
Net shares
-39.75
Price per Share
$959.24
Amount (USD)
$38,129.77
Acquired/Disposed
Disposed
Shares Owned Before
7,839.559
Shares Owned After
7,799.809
Security
Common Stock
Action
Sell
Date
2026-03-03
Code
S
Net shares
-49.5
Price per Share
$960.33
Amount (USD)
$47,536.22
Acquired/Disposed
Disposed
Shares Owned Before
7,799.809
Shares Owned After
7,750.309
Security
Common Stock
Action
Sell
Date
2026-03-03
Code
S
Net shares
-18.0
Price per Share
$961.33
Amount (USD)
$17,304.01
Acquired/Disposed
Disposed
Shares Owned Before
7,750.309
Shares Owned After
7,732.309
Security
Common Stock
Action
Sell
Date
2026-03-03
Code
S
Net shares
-29.0
Price per Share
$962.18
Amount (USD)
$27,903.27
Acquired/Disposed
Disposed
Shares Owned Before
7,732.309
Shares Owned After
7,703.309
Security
Common Stock
Action
Sell
Date
2026-03-03
Code
S
Net shares
-22.75
Price per Share
$963.29
Amount (USD)
$21,914.84
Acquired/Disposed
Disposed
Shares Owned Before
7,703.309
Shares Owned After
7,680.559
Security
Common Stock
Action
Sell
Date
2026-03-03
Code
S
Net shares
-36.0
Price per Share
$964.41
Amount (USD)
$34,718.76
Acquired/Disposed
Disposed
Shares Owned Before
7,680.559
Shares Owned After
7,644.559
Security
Common Stock
Action
Sell
Date
2026-03-03
Code
S
Net shares
-5.25
Price per Share
$965.55
Amount (USD)
$5,069.15
Acquired/Disposed
Disposed
Shares Owned Before
7,644.559
Shares Owned After
7,639.309
Security
Common Stock
Action
Sell
Date
2026-03-03
Code
S
Net shares
-21.0
Price per Share
$968.12
Amount (USD)
$20,330.45
Acquired/Disposed
Disposed
Shares Owned Before
7,639.309
Shares Owned After
7,618.309
Security
Common Stock
Action
Sell
Date
2026-03-03
Code
S
Net shares
-1.75
Price per Share
$968.78
Amount (USD)
$1,695.36
Acquired/Disposed
Disposed
Shares Owned Before
7,618.309
Shares Owned After
7,616.559
Security
Restricted Stock Unit
Action
Exercise
Date
2026-03-02
Code
M
Net shares
-436.0
Acquired/Disposed
Disposed
Shares Owned Before
436.0
Shares Owned After
0.0
Security
Restricted Stock Unit
Action
Exercise
Date
2026-03-02
Code
M
Net shares
-348.0
Acquired/Disposed
Disposed
Shares Owned Before
1,044.0
Shares Owned After
696.0
Security
Restricted Stock Unit
Action
Exercise
Date
2026-03-02
Code
M
Net shares
-347.0
Acquired/Disposed
Disposed
Shares Owned Before
1,734.0
Shares Owned After
1,387.0
1. The price reported in Column 4 is a weighted average price. These shares were sold in multiple transactions at prices ranging from $946.78 to $947.27, inclusive. The reporting person undertakes to provide to Equinix, Inc, any security holder of Equinix Inc, or the staff of the Securities and Exchange Commission, upon request, full information regarding the number of shares sold at each separate price within the ranges set forth in footnotes 2 through 20 to this Form 4.
2. The price reported in Column 4 is a weighted average price. These shares were sold in multiple transactions at prices ranging from $948.02 to $948.98 inclusive.
3. The price reported in Column 4 is a weighted average price. These shares were sold in multiple transactions at prices ranging from $949.075 to $950.02 inclusive.
4. The price reported in Column 4 is a weighted average price. These shares were sold in multiple transactions at prices ranging from $950.21 to $951.21 inclusive.
5. The price reported in Column 4 is a weighted average price. These shares were sold in multiple transactions at prices ranging from $951.37 to $952.19 inclusive.
6. The price reported in Column 4 is a weighted average price. These shares were sold in multiple transactions at prices ranging from $952.665 to $953.65 inclusive.
7. The price reported in Column 4 is a weighted average price. These shares were sold in multiple transactions at prices ranging from $953.71 to $954.61 inclusive.
8. The price reported in Column 4 is a weighted average price. These shares were sold in multiple transactions at prices ranging from $954.765 to $955.735 inclusive.
9. The price reported in Column 4 is a weighted average price. These shares were sold in multiple transactions at prices ranging from $955.77 to $956.77 inclusive.
10. The price reported in Column 4 is a weighted average price. These shares were sold in multiple transactions at prices ranging from $956.79 to $957.78 inclusive.
11. The price reported in Column 4 is a weighted average price. These shares were sold in multiple transactions at prices ranging from $957.81 to $958.81 inclusive.
12. The price reported in Column 4 is a weighted average price. These shares were sold in multiple transactions at prices ranging from $958.84 to $959.81 inclusive.
13. The price reported in Column 4 is a weighted average price. These shares were sold in multiple transactions at prices ranging from $959.89 to $960.86 inclusive.
14. The price reported in Column 4 is a weighted average price. These shares were sold in multiple transactions at prices ranging from $960.94 to $961.925 inclusive.
15. The price reported in Column 4 is a weighted average price. These shares were sold in multiple transactions at prices ranging from $961.95 to $962.92 inclusive.
16. The price reported in Column 4 is a weighted average price. These shares were sold in multiple transactions at prices ranging from $962.98 to $963.8125 inclusive.
17. The price reported in Column 4 is a weighted average price. These shares were sold in multiple transactions at prices ranging from $964.00 to $965.00 inclusive.
18. The price reported in Column 4 is a weighted average price. These shares were sold in multiple transactions at prices ranging from $965.17 to $965.71 inclusive.
19. The price reported in Column 4 is a weighted average price. These shares were sold in multiple transactions at prices ranging from $967.69 to $968.62 inclusive.
20. The price reported in Column 4 is a weighted average price. These shares were sold in multiple transactions at prices ranging from $968.74 to $968.91 inclusive.
21. Vesting is dependent upon continuous active service as an employee or director of the Company or a subsidiary of the Company (Service) throughout the vesting period. The Restricted Stock Units shall vest as follows: 16.67% of the RSUs vesting on September 1, 2023 and an additional 16.67% of the RSUs vesting every 6 months thereafter until fully vested.
22. Restricted stock unit award expires upon reporting person's termination of service.
23. Vesting is dependent upon continuous active service as an employee or director of the Company or a subsidiary of the Company (Service) throughout the vesting period. The Restricted Stock Units shall vest as follows: 16.67% of the RSUs vesting on September 1, 2024 and an additional 16.67% of the RSUs vesting every 6 months thereafter until fully vested..
24. Vesting is dependent upon continuous active service as an employee or director of the Company or a subsidiary of the Company (Service) throughout the vesting period. The Restricted Stock Units shall vest as follows: 16.67% of the RSUs vesting on September 1, 2025 and an additional 16.67% of the RSUs vesting every 6 months thereafter until fully vested..
This page is for informational purposes only. While we strive for accuracy, the summary may contain inaccuracies or omissions. Please refer to the official SEC filing for authoritative information. Open the SEC filing.