CFO adds 1,188 Medalist Diversified REIT (MDRR) shares in open-market buys
Filing Impact
Filing Sentiment
Form Type
4
Rhea-AI Filing Summary
Medalist Diversified REIT, Inc. chief financial officer Charles Brent Winn Jr. reported buying a total of 1,188 shares of common stock in open-market purchases. The trades on March 5 and 6 were executed at prices between $11.40 and $11.60 per share and increased his directly held stake to 60,390 common shares.
Positive
- None.
Negative
- None.
Insider Trade Summary
Net Buyer: 1,188 shares ($13,613)
Net Buy
3 txns
Insider
Winn Charles Brent Jr.
Role
CHIEF FINANCIAL OFFICER
Bought
1,188 shs ($14K)
| Type | Security | Shares | Price | Value |
|---|---|---|---|---|
| Purchase | Common Stock | 337 | $11.40 | $4K |
| Purchase | Common Stock | 350 | $11.60 | $4K |
| Purchase | Common Stock | 501 | $11.40 | $6K |
Holdings After Transaction:
Common Stock — 60,390 shares (Direct)
Footnotes (1)
FAQ
What insider transaction did MDRR CFO Charles Brent Winn Jr. report?
Medalist Diversified REIT’s CFO Charles Brent Winn Jr. reported open-market purchases of common stock. He completed three separate buy transactions, increasing his personal direct ownership stake in the company’s shares as disclosed in this Form 4 insider trading report.
What is the MDRR CFO’s total direct ownership after these transactions?
After these open-market purchases, the CFO’s direct ownership increased to 60,390 shares of Medalist Diversified REIT common stock. This total reflects his directly held position immediately following the latest reported transaction in the Form 4.
Were the MDRR insider transactions direct or through another entity?
All reported MDRR transactions are listed as direct ownership, meaning the shares are held personally by the CFO rather than through an intermediate entity. The ownership code and nature of ownership fields both indicate direct beneficial ownership.
What type of Form 4 transactions did the MDRR CFO execute?
The MDRR CFO executed open-market purchases of common stock, coded as “P” transactions. This code indicates he acquired shares by buying them in the market or a private transaction, rather than through option exercises or other non-market mechanisms.