Transaction DateRecipientSharesTypePriceValue
14th September 2020Warren B Kanders244,003Grant/award etc.$13.58$3,313,560.74
14th September 2020Warren B Kanders101,814Payment by withholding$13.58$1,382,634.12
27th August 2020Aaron Kuehne100,000Grant/award etc.$0.00
14th August 2020Michael A Henning10,000Exercise of derivative$6.77$67,700.00
14th August 2020Donald House10,000Exercise of derivative$6.77$67,700.00
14th August 2020Donald House15,000Open or private sale$13.19$197,797.50
13th August 2020Aaron Kuehne12,500Exercise of derivative$6.25$78,125.00
11th June 2020Nicolas Sokolow10,000Exercise of derivative$6.77$67,700.00
29th May 2020Donald House1,000Bona fide gift$0.00
21st May 2020Donald House13,538Payment by withholding$10.12$137,004.56
Clarus logo

Clarus Corp. engages in development, manufacture, and distribution of outdoor equipment and lifestyle products. It operates through the Black Diamond and Sierra segment. The Black Diamond segment designs, manufactures, and markets outdoor engineered equipment and apparel for climbing, mountaineering, backpacking, skiing, and a range of other year-round outdoor recreation activities. The Sierra segment produces aRange of bullets for both rifles and pistols that are used for precision target shooting, hunting, and military and law enforcement purposes.

Ticker: CLAR
Sector: Consumer Durables
Industry: Recreational Products
SEC Central Index Key (CIK): 913277
Employees: 500
Exchange: NASDAQ
Auditor Opinion:

Disclosure Language changes
Red Flags
Cash at Carrying Value: $22 M (1164%)
Inventory, Net: $73 M (0%)
Assets, Current: $123 M (1%)
Property, Plant and Equipment, Net: $23 M (0%)
Other Assets, Noncurrent: $3 M (-15%)
Assets: $231 M (0%)
Liabilities, Current: $23 M (-5%)
Long-term Debt, Excluding Current Maturities: $27 M (16%)
Other Liabilities, Noncurrent: $334 Th (-45%)
Liabilities: $51 M (4%)
Common Stock, Value, Issued: $3 Th (0%)
Common Stock, Shares, Issued: $34 Th (0%)
Retained Earnings (Accumulated Deficit): $293 M (1%)
Accumulated Other Comprehensive Income (Loss), Net of Tax: $73 Th (0%)
Treasury Stock, Value: $224 Th (0%)
Stockholders' Equity (Parent): $180 M (0%)
Liabilities and Equity: $231 M (0%)
Revenue: $30 M (0%)
Cost of Revenue: $19 M (-64%)
Gross Margin: $11 M (-63%)
Restructuring Charges: $13 Th (0%)
Operating Income/Loss: $4 M (28%)
Other Income, net: $149 Th (-78%)
Income before taxes: $4 M (0%)
Provision for income taxes: $1 M (1%)
EPS (basic): $0.09 (0%)
EPS (diluted): $0.09 (0%)