Form 4 • Statement of Changes in Beneficial Ownership
Type
Sell
Net shares
+965
% of shares
11.38%
Amount (USD)
$405,805
Insider confidence score
97.5 out of 100
Positive
Security
Common Stock
Action
Grant
Date
2026-03-02
Code
A
Net shares
+1,648.0
Price per Share
$108.51
Amount (USD)
$178,824.48
Acquired/Disposed
Acquired
Shares Owned Before
8,478.0
Shares Owned After
10,126.0
Security
Common Stock
Action
Grant
Date
2026-03-02
Code
A
Net shares
+682.0
Price per Share
$108.51
Amount (USD)
$74,003.82
Acquired/Disposed
Acquired
Shares Owned Before
10,126.0
Shares Owned After
10,808.0
Security
Common Stock
Action
Tax_withhold
Date
2026-03-02
Code
F
Net shares
-962.0
Price per Share
$100.99
Amount (USD)
$97,152.38
Acquired/Disposed
Disposed
Shares Owned Before
10,808.0
Shares Owned After
9,846.0
Security
Common Stock
Action
Tax_withhold
Date
2026-03-02
Code
F
Net shares
-1,124.0
Price per Share
$100.99
Amount (USD)
$113,512.76
Acquired/Disposed
Disposed
Shares Owned Before
9,846.0
Shares Owned After
8,722.0
Security
Common Stock
Action
Grant
Date
2026-03-03
Code
A
Net shares
+2,721.0
Price per Share
$107.57
Amount (USD)
$292,697.97
Acquired/Disposed
Acquired
Shares Owned Before
8,722.0
Shares Owned After
11,443.0
Security
Common Stock
Action
Sell
Date
2026-03-04
Code
S
Net shares
-2,000.0
Price per Share
$97.57
Amount (USD)
$195,140.00
Acquired/Disposed
Disposed
Shares Owned Before
11,443.0
Shares Owned After
9,443.0
1. Reports common stock issued upon settlement of performance restricted units granted to the reporting person in April 2024. The compensation committee of the Board of Directors determined that the performance criteria were met on March 2, 2026. The total reported in Column 5 includes 5,902 restricted stock units and 4,224 shares of common stock.
2. Reports common stock issued upon settlement of performance restricted units granted to the reporting person in March 2025. The compensation committee of the Board of Directors determined that the performance criteria were met on March 2, 2026. The total reported in Column 5 includes 5,902 restricted stock units and 4,906 shares of common stock.
3. The price reported in Column 4 is a weighted average price. These shares were sold in multiple transactions at prices ranging from $99.53 to $102.67.
4. The reported transaction involves shares withheld for the payment of taxes related to performance restricted stock units that the performance criteria were met on March 2, 2026. The total reported in Column 5 includes 5,902 restricted stock units and 3,944 shares of common stock.
5. The reported transaction involves shares withheld for the payment of taxes related to performance restricted stock units that the performance criteria were met on March 2, 2026. The total reported in Column 5 includes 4,778 restricted stock units and 3,944 shares of common stock.
6. The reported transaction involved the person's receipt of a grant of 2721 restricted stock units under Turning Point Brands, Inc.'s 2021 Equity Incentive Plan. The total reported in Column 5 includes 7,499 restricted stock units and 3,944 shares of common stock.
7. The price reported in Column 4 is a weighted average price. These shares were sold in multiple transactions at prices ranging from $97.37 to $97.85.
8. The total reported in Column 5 includes 7,499 restricted stock units and 1,944 shares of common stock.
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.