Filing Details

Accession Number:
0001209191-14-019240
Form Type:
4
Zero Holdings:
No
Publication Time:
2014-03-11 14:54:18
Reporting Period:
2014-03-07
Filing Date:
2014-03-11
Accepted Time:
2014-03-11 14:54:18
SEC Url:
Form 4 Filing
Issuer
Cik Name Symbol Sector (SIC) IRS No
1430602 Scripps Networks Interactive Inc. SNI Cable & Other Pay Television Services (4841) 611551890
Insiders
Cik Name Reported Address Insider Title Director Officer Large Shareholder Other
1186933 W Kenneth Lowe 312 Walnut Street, 18Th Floor
Cincinnati OH 45202
Chairman, President & Ceo No Yes No No
Reported Non-Derivative Transactions
Sec. Name Acquisiton - Disposition Date Amount Price Remaning Holdings Equity Swap Involved Form Type Code Nature of Ownership Explanation
Class A Common Shares, $.01 Par Value Per Share Acquisiton 2014-03-07 10,300 $45.59 131,286 No 4 M Direct
Class A Common Shares, $.01 Par Value Per Share Disposition 2014-03-07 10,300 $81.82 120,986 No 4 S Direct
Class A Common Shares, $.01 Par Value Per Share Acquisiton 2014-03-10 45,367 $45.59 166,353 No 4 M Direct
Class A Common Shares, $.01 Par Value Per Share Disposition 2014-03-10 45,367 $81.20 120,986 No 4 S Direct
Class A Common Shares, $.01 Par Value Per Share Acquisiton 2014-03-10 5,677 $0.00 126,663 No 4 M Direct
Class A Common Shares, $.01 Par Value Per Share Disposition 2014-03-10 2,382 $80.98 124,281 No 4 F Direct
Class A Common Shares, $.01 Par Value Per Share Acquisiton 2014-03-10 7,886 $0.00 132,167 No 4 M Direct
Class A Common Shares, $.01 Par Value Per Share Disposition 2014-03-10 3,309 $80.98 128,858 No 4 F Direct
Class A Common Shares, $.01 Par Value Per Share Acquisiton 2014-03-10 6,206 $0.00 135,064 No 4 M Direct
Class A Common Shares, $.01 Par Value Per Share Disposition 2014-03-10 2,604 $80.98 132,460 No 4 F Direct
Equity Swap Involved Form Type Code Nature of Ownership Explanation
No 4 M Direct
No 4 S Direct
No 4 M Direct
No 4 S Direct
No 4 M Direct
No 4 F Direct
No 4 M Direct
No 4 F Direct
No 4 M Direct
No 4 F Direct
Reported Derivative Transactions
Sec. Name Sec. Type Acquisiton - Disposition Date Amount Price Amount - 2 Price - 2
Class A Common Option Disposition 2014-03-07 55,667 $0.00 133,875 $45.59
Class A Common Restricted Stock Units Disposition 2014-03-10 6,206 $0.00 6,206 $0.00
Class A Common Restricted Stock Units Disposition 2014-03-10 7,886 $0.00 15,772 $0.00
Class A Common Restricted Stock Units Disposition 2014-03-10 5,677 $0.00 17,030 $0.00
Remaning Holdings Exercise Date Expiration Date Equity Swap Involved Transaction Form Type Transaction Code Nature of Ownership
78,208 2008-02-22 2015-02-21 No 4 M Direct
0 No 4 M Direct
7,886 No 4 M Direct
11,353 No 4 M Direct
Reported Non-Derivative Holdings
Sec. Name Remaning Holdings Nature of Ownership Explanation
Class A Common Shares, $.01 Par Value Per Share 66,415 Indirect Wife's Trust
Common Voting Shares, $.01 Par Value Per Share 0 Direct
Reported Derivative Holdings
Sec. Name Sec. Type Price Date Expiration Date Amount Remaning Holdings Nature of Ownership
Class A Common Option $39.80 2009-02-21 2016-02-20 133,875 133,875 Direct
Class A Common Restricted Stock Units $0.00 43,041 43,041 Direct
Class A Common Option $20.48 2010-02-19 2017-02-18 218,466 218,466 Direct
Class A Common Option $39.44 2011-02-18 2018-02-17 103,147 103,147 Direct
Class A Common Option $53.17 2012-02-17 2019-02-16 79,090 79,090 Direct
Class A Common Option $43.59 2013-02-16 2020-02-15 95,222 95,222 Direct
Class A Common Restricted Stock Units $0.00 75,000 75,000 Direct
Class A Common Option $62.37 2014-02-14 2021-02-13 77,560 77,560 Direct
Class A Common Restricted Stock Units $0.00 39,036 39,036 Direct
Class A Common Option $81.24 2015-03-01 2022-02-28 80,185 80,185 Direct
Classs A Common Restricted Stock Units $0.00 14,420 14,420 Direct
Class A Common Restricted Stock Units $0.00 49,444 49,444 Direct
Expiration Date Amount Remaning Holdings Nature of Ownership
2016-02-20 133,875 133,875 Direct
43,041 43,041 Direct
2017-02-18 218,466 218,466 Direct
2018-02-17 103,147 103,147 Direct
2019-02-16 79,090 79,090 Direct
2020-02-15 95,222 95,222 Direct
75,000 75,000 Direct
2021-02-13 77,560 77,560 Direct
39,036 39,036 Direct
2022-02-28 80,185 80,185 Direct
14,420 14,420 Direct
49,444 49,444 Direct
Footnotes
  1. Price reported is the average weighted price of shares sold. Shares were sold at varying prices in the range of $81.74 - $81.96. The reporting person hereby undertakes, upon request of the Commission, the issuer or a security holder of the issuer, to provide full information regarding the number of shares sold at each separate price.
  2. Price reported is the average weighted price of shares sold. Shares were sold at varying prices in the range of $80.97 - $81.65. The reporting person hereby undertakes, upon request of the Commission, the issuer or a security holder of the issuer, to provide full information regarding the number of shares sold at each separate price.
  3. As reported hereon in Table I, two transaction dates (3/7/14 and 3/10/14) occurred.
  4. Pursuant to the Company's 2008 Long-Term Incentive Plan, the reporting person holds 43,041 restricted share units which shall be exchanged for Class A Common Shares of the Company following the reporting person's retirement or termination of his employment under certain circumstances as set forth in a Restricted Share Unit Agreement between the Company and the reporting person.
  5. Each restricted stock unit represents a contingent right to receive one SNI Class A Common Share.
  6. As reported hereon, the restricted stock units vested on 2/17/14 and were paid out in Class A Common Shares on 3/10/14.
  7. As reported hereon, 50% of the restricted stock units vested on 2/16/14 and were paid out in Class A Common Shares on 3/10/14 and the remainder vest on 2/16/15.
  8. The restricted stock units vest 1/3 on 8/1/14 and 2/3 on 8/1/15.
  9. As reported hereon, 1/3 of the restricted stock units vested on 2/14/14 and were paid out in Class A Common Shares on 3/10/14 and the remainder vest equally on 2/14/15 and 2/14/16.
  10. The restricted stock units vest 50% on 3/15/14 and 50% on 3/15/15.
  11. The restricted stock units vest in equal installments on 3/1/15, 3/1/16 and 3/1/17.
  12. The restricted stock units vest 50% on 12/31/15 and 50% on 12/31/16.