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$MGM All transactions

MGM Resorts International

F

$ Value

$166K

Shares

4,893

Price

$34

Filed

Oct 7

Insider

Name

Fritz Gary M

Title

President, Interactive

CIK

0001460260

Roles

Officer

Transaction Details

Transaction Date

2025-10-03

Code

F

Table

Non-Derivative

Ownership

Direct

Equity Swap

No

Shares After

82,654

Footnotes

Represents the vesting of 35,129.42456 performance share units (PSUs) granted on October 3, 2022, under the MGM Resorts International (Company) 2022 Omnibus Incentive Plan (Plan). Each PSU represented the right to receive between 0 and 1.6 shares of Company common stock depending upon the performance of the common stock from the grant date to the date that was three years after the grant date (Vesting Date), relative to a target price of $41.83 (Target Price). The Target Price is equal to 125% of the average closing price of Company common stock over the 60-calendar day period ending on the grant date. The number of shares issued per PSU, 0.8628210 shares, was calculated by dividing the ending average stock price by the Target Price. For this purpose, the ending average stock price is the average closing price of Company common stock over the 60-day period ending on the Vesting Date, as adjusted to include dividends paid during the term of the PSU. | Represents the vesting of 33,018.279 PSUs granted on October 3, 2022, under the Plan. The number of shares awarded at the end of the performance period was based upon the Company's three-year total shareholder return (TSR) compared to the TSRs of the constituents of the S&P 500 Index. | Restricted Stock Units ("RSUs") granted under the MGM Resorts International ("Company") 2022 Omnibus Incentive Plan. Each RSU represents the right to receive, following vesting, one share of Company common stock. The RSUs vest in four equal annual installments commencing on the first anniversary of the grant date.

Filing Info

Accession No.

0000789570-25-000057

Form Type

4

Issuer CIK

0000789570

Fritz Gary M's History

Date Ticker Type Value
2025-12-01 MGM M $0
2025-12-01 MGM F $212K
2025-12-01 MGM M $0
2025-10-07 MGM M $0
2025-10-07 MGM F $161K
2025-10-07 MGM M $0
2025-10-06 MGM A $0
2025-10-03 MGM M $0
2025-10-03 MGM F $166K
2025-10-03 MGM A $0

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