Sean Martin

CIK 1500332 · Chief Legal Officer & GC · last filed 2026-03-02

"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

$1.28M

Companies

3

Total Filings

54

Lifetime Open-Market Net

-$6.13M

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
GENB Chief Legal Officer & GC $13.14 $0 1 2026-03-02
BAX SVP and General Counsel 52,632 $24.37 $1.28M -$6.13M 15 2022-03-04
RBA SVP, General Counsel 0 $116.59 $0 $0 4 2017-02-02

Recent Filings · Page 3 of 6

54 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
2015-11-18 Grant (A) +275,106 $0
2015-10-26 Mixed −5,408 -$38.9K
2015-08-14 Mixed +88,258 -$82.3K
2015-07-08 Mixed −1,029 -$13.4K
2015-07-07 Mixed −1,496 -$19.3K
2015-03-04 Sell (S) −6,905 -$192.9K
2015-02-04 Sell (S) −6,900 -$174.2K
2014-10-17 Mixed −6,140 -$151.8K
2014-10-03 Sell (S) −3,100 -$77.6K
2014-09-04 Sell (S) −3,100 -$87.1K
Showing 2130 of 54
Page 3 of 6
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.