X |
Filing Date |
Trade Date |
Ticker |
Insider Name | Title |
Trade Type |
Price |
Qty |
Owned |
ΔOwn |
Value |
1d |
1w |
1m |
6m |
---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
2024-09-13 | GRNT | Miller Matthew Reade | Dir | P - Purchase | $6.23 | +495 | 692,991 | 0% | +$3,084 | ||||||
2024-09-11 | GRNT | Miller Matthew Reade | Dir | P - Purchase | $5.97 | +8,500 | 692,496 | +1% | +$50,745 | ||||||
2024-08-22 | GRNT | Miller Matthew Reade | Dir | P - Purchase | $6.33 | +4,000 | 683,996 | +1% | +$25,320 | ||||||
2024-08-16 | GRNT | Miller Matthew Reade | Dir | P - Purchase | $6.50 | +4,938 | 679,996 | +1% | +$32,097 | ||||||
2024-06-17 | GRNT | Miller Matthew Reade | Dir | P - Purchase | $5.91 | +483 | 675,058 | 0% | +$2,855 | ||||||
2024-06-14 | GRNT | Miller Matthew Reade | Dir | P - Purchase | $5.90 | +8,500 | 674,575 | +1% | +$50,150 | ||||||
2024-06-03 | GRNT | Miller Matthew Reade | Dir | P - Purchase | $6.50 | +7,700 | 666,075 | +1% | +$50,050 | ||||||
M | 2024-03-14 | GRNT | Miller Matthew Reade | Dir | P - Purchase | $6.21 | +4,900 | 634,057 | +1% | +$30,413 | |||||
2023-12-12 | GRNT | Miller Matthew Reade | Dir | P - Purchase | $5.93 | +2,600 | 615,671 | 0% | +$15,418 | ||||||
2023-09-18 | GRNT | Miller Matthew Reade | Dir | P - Purchase | $5.77 | +17,284 | 613,071 | +3% | +$99,729 | ||||||
2023-06-01 | GRNT | Miller Matthew Reade | Dir | P - Purchase | $5.81 | +505 | 540,817 | 0% | +$2,934 | ||||||
M | 2023-05-30 | GRNT | Miller Matthew Reade | Dir | P - Purchase | $5.85 | +4,000 | 540,312 | +1% | +$23,400 | |||||
M | 2023-05-25 | GRNT | Miller Matthew Reade | Dir | P - Purchase | $5.92 | +4,000 | 536,312 | +1% | +$23,660 |
A | Amended filing |
D | Derivative transaction in filing (usually option exercise) |
E | Error detected in filing |
M | Multiple transactions in filing; earliest reported transaction date and weighted average transaction price |
S - Sale | Sale of securities on an exchange or to another person |
S - Sale+OE | Sale of securities on an exchange or to another person (after option exercise) |
F - Tax | Payment of exercise price or tax liability using portion of securities received from the company |
P - Purchase | Purchase of securities on an exchange or from another person |