Technology Crossover Management VII, Ltd.

CIK 1466999 · last filed 2017-06-07

Technology Crossover Management VII, Ltd. is a corporate insider who has filed 5 SEC Form 4 insider transactions across 2 companies since 2012. The most recent filing shows the insider sold $100.8M of RPD on Jun 7, 2017. Across all open-market trades the lifetime net is −$62.8M, making them a net seller over the disclosed history. Current disclosed insider exposure totals $453.8M across reported positions. The firm reports its address in Menlo Park, CA. 30 SEC filings were submitted jointly with Technology Crossover Management VII, L.P.

"Disclosed insider exposure" sums this person's most-recently-reported share counts across each company they're an insider in, multiplied by the current underlying price. It is not net worth — it misses retail holdings, private investments, real estate, index funds, and any company where the person isn't an SEC-reporting insider. For informational purposes only.

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Disclosed Exposure

$453.84M

Companies

2

Total Filings

5

Lifetime Open-Market Net

-$62.78M

Filer Profile

Reported Address
C/O TECHNOLOGY CROSSOVER VENTURES
250 MIDDLEFIELD ROAD
MENLO PARK, CA 94025
Phone
(650) 614-8239
State of Incorporation
Cayman Islands
Related Filers
Technology Crossover Management VII, L.P. — 30 joint filings, latest 2017-06-07
TCV VII LP — 20 joint filings, latest 2013-07-15
VII(A) L P TCV — 20 joint filings, latest 2013-07-15
RICK KIMBALL — 15 joint filings, latest 2017-05-12
Christopher P Marshall — 15 joint filings, latest 2013-07-15
TCV Member Fund, L.P. — 14 joint filings, latest 2017-06-07
Jay C Hoag — 13 joint filings, latest 2014-11-04
JOHN DREW — 12 joint filings, latest 2013-07-15
Profile details as reported on the filer's SEC submissions — for individual insiders the address is often in care of the issuer. Related filers are identified from jointly filed SEC submissions and shared reported addresses. View filings on SEC EDGAR.

Holdings By Company

Latest on-record share count from this person's most recent non-derivative Form 4 transaction in each company. Disclosed exposure = shares × current underlying price.
Symbol Role Shares Price Disclosed Exposure Lifetime OM Net Filings Latest Filed
RPD 10%+ Owner 5,260,299 $11.00 $57.86M -$80.80M 2 2017-06-07
ET 10%+ Owner 18,417,356 $21.50 $395.97M $18.02M 2 2013-03-07

Recent Filings

5 filings
Insider activity across all companies, newest first. Form 4 rows are post-trade confirmations (buys, sells, grants, exercises). Notice (144) rows are pre-trade notices of intent to sell restricted or control stock under Rule 144 — they may not all execute. Compare adjacent dates to see which notices became actual sales.
Filed Symbol Action Net Shares Net $ Link
2017-06-07 RPD Sell (S) −5,600,000 -$100.80M EDGAR
2015-07-24 RPD Mixed +37,752,172 $20.00M EDGAR
2014-11-04 Other (J) −36,756,664 -$205.84M
2013-03-07 ET Mixed −42,190 -$864.9K EDGAR
2012-03-29 ET Mixed +143,622,660 $18.88M EDGAR
Form 4 codes: P = open-market purchase · S = open-market sale · A = grant/award · M = option exercise · F = tax withholding at vest · G = bona-fide gift · D = disposition to issuer · J = other (see filing footnote). Only P / S codes carry directional signal.
Notice (144 / 144/A): Form 144 is a notice of intent to sell restricted/control stock under Rule 144, filed before the sale; 144/A is an amendment. Many notices are pre-scheduled under Rule 10b5-1 plans. A Form 4 with code S typically follows within a few days when the planned sale executes; missing follow-up Form 4s suggest the notice was cancelled or modified.