Transaction DateRecipientSharesTypePriceValue
22nd July 2020Traci L Jensen12,658Exercise of derivative$22.27$281,893.66
22nd July 2020Traci L Jensen12,658Open or private sale$44.89$568,242.94
21st July 2020Timothy J Keenan7,000Exercise of derivative$28.40$198,800.00
21st July 2020Timothy J Keenan7,000Open or private sale$45.31$317,188.20
2nd July 2020Nathan D. Weaver790Bona fide gift$0.00
30th June 2020Nathan D. Weaver6,041Exercise of derivative$22.27$134,533.07
30th June 2020Nathan D. Weaver6,041Open or private sale$44.86$271,024.63
29th June 2020James Owens15,748Exercise of derivative$25.19$396,692.12
29th June 2020James Owens2,500Open or private sale$44.20$110,493.75
29th June 2020James Owens2,500Open or private sale$44.36$110,903.75
H.B. Fuller Co.
H.B. Fuller Co. logo

H.B. Fuller Co. engages in the formulation, manufactures, and markets the adhesives, sealants, and other specialty chemical products. It operates through six operating segments. The company's products include thermoplastic, thermoset, reactive, and water-based and solvent-based products. The Construction Products segment provides floor preparation, grouts, and mortars for tile setting.

Ticker: FUL
Sector: Process Industries
Industry: Industrial Specialties
SEC Central Index Key (CIK): 39368
Employees: 6400
Exchange: New York Stock Exchange
Auditor Opinion:

Disclosure Language changes
Red Flags
Cash at Carrying Value: $70 M (0%)
Inventory, Net: $389 M (0%)
Other Assets, Current: $101 M (10%)
Assets, Current: $1 B (-2%)
Property, Plant and Equipment, Net: $636 M (0%)
Other Assets, Noncurrent: $287 M (18%)
Assets: $4 B (0%)
Accounts Payable, Current: $320 M (6%)
Accrued Liabilities, Current: $75 M (24%)
Liabilities, Current: $492 M (-9%)
Long-term Debt, Excluding Current Maturities: $2 B (0%)
Other Liabilities, Noncurrent: $279 M (15%)
Liabilities: $3 B (0%)
Common Stock, Value, Issued: $52 M (0%)
Retained Earnings (Accumulated Deficit): $1 B (1%)
Accumulated Other Comprehensive Income (Loss), Net of Tax: $381 M (10%)
Stockholders' Equity (Parent): $1 B (0%)
Liabilities and Equity: $4 B (0%)
Gross Margin: $185 M (-47%)
Restructuring Charges: $390 Th (-10%)
Operating Income/Loss: $57 M (0%)
Income before taxes: $41 M (0%)
Provision for income taxes: $11 M (-32%)
EPS (basic): $0.61 (-23%)
EPS (diluted): $0.61 (-22%)