Transaction DateRecipientSharesTypePriceValue
19th August 2020Rajiv Gupta100,000Bona fide gift$0.00
19th August 2020Rajiv Gupta1,147,970Exercise of derivative$1.60$1,836,752.00
7th August 2020Lawrence A Zimmerman15,866Grant/award etc.$0.00
3rd August 2020Nancy E Cooper203Sale back to the issuer$68.16$13,836.48
2nd August 2020Paul M Meister27,923Exercise of derivative$0.00
31st July 2020Nancy E Cooper579Grant/award etc.$66.98$38,781.42
1st July 2020Richard L Clemmer2,929Grant/award etc.$0.00
1st July 2020Paul M Meister494Grant/award etc.$27.80$13,733.20
10th June 2020Paul M Meister25,622Exercise of derivative$0.00
27th May 2020Rajiv Gupta3,438Grant/award etc.$49.46$170,043.48
Aptiv Plc
Aptiv Plc logo

Aptiv Plc engages in the design, development, and manufacture of vehicle components. The firm also provides electrical, electronic, and safety technology solutions to the global automotive and commercial vehicle markets. It operates through three business segments: Signal and Power Solutions, Advanced Safety and User Experience, and Eliminations and Other.

Ticker: APTV
Sector: Producer Manufacturing
Industry: Auto Parts: OEM
SEC Central Index Key (CIK): 1521332
Employees: 141000
Exchange: New York Stock Exchange
Auditor Opinion:

Disclosure Language changes
Red Flags
Cash at Carrying Value: $2 B (357%)
Inventory, Net: $1 B (0%)
Other Assets, Current: $449 M (0%)
Assets, Current: $5 B (1%)
Property, Plant and Equipment, Net: $3 B (-3%)
Other Assets, Noncurrent: $717 M (0%)
Assets: $15 B (0%)
Short-term Debt: $200 M (-49%)
Accounts Payable, Current: $1 B (-41%)
Accrued Liabilities, Current: $1 B (6%)
Liabilities, Current: $3 B (-29%)
Long-term Debt, Excluding Current Maturities: $4 B (0%)
Other Liabilities, Noncurrent: $588 M (0%)
Liabilities: $8 B (-13%)
Common Stock, Value, Issued: $3 M (0%)
Retained Earnings (Accumulated Deficit): $4 B (37%)
Accumulated Other Comprehensive Income (Loss), Net of Tax: $894 M (0%)
Stockholders' Equity (Parent): $7 B (81%)
Liabilities and Equity: $15 B (13%)
Cost of Revenue: $2 B (-58%)
Restructuring Charges: $72 M (0%)
Operating Income/Loss: $311 M (0%)
Other Income, net: $6 M (0%)
Income before taxes: $361 M (0%)
Provision for income taxes: $14 M (0%)
EPS (basic): $1.43 (0%)
EPS (diluted): $1.43 (0%)