Filing Details

Accession Number:
0000905718-19-000474
Form Type:
4
Zero Holdings:
No
Publication Time:
2019-05-20 16:35:43
Reporting Period:
2019-05-16
Accepted Time:
2019-05-20 16:35:43
SEC Url:
Form 4 Filing
Issuer
Cik Name Symbol Sector (SIC) IRS No
1760717 Sciplay Corp SCPL () DE
Insiders
Cik Name Reported Address Insider Title Director Officer Large Shareholder Other
1386928 Park West Asset Management Llc 900 Larkspur Landing Circle, Suite 165
Larkspur CA 94939
No No Yes 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 Stock Acquisiton 2019-05-16 497,500 $15.93 3,000,000 No 4 P Indirect See Footnotes
Equity Swap Involved Form Type Code Nature of Ownership Explanation
No 4 P Indirect See Footnotes
Footnotes
  1. Park West Asset Management LLC (the "Reporting Person") is the investment manager to Park West Investors Master Fund, Limited, a Cayman Islands exempted company ("PWIMF"), and Park West Partners International, Limited, a Cayman Islands exempted company ("PWPI"). Peter S. Park ("Mr. Park") is the sole member and manager of the Reporting Person.
  2. The price reported in Column 4 is a weighted average price. These shares were purchased in multiple transactions with prices ranging from $15.50 to $16.00 per share, inclusive. The Reporting Person undertakes to provide SciPlay Corp, any security holder thereof, or the staff of the Securities and Exchange Commission, upon request, full information regarding the number of shares sold at each price within the range set forth herein.
  3. On May 16, 2019, the date of the event which requires the filing of this statement, PWIMF held 2,720,620 shares of Class A Common Stock $0.001 par value per share (the "Common Stock") and PWPI held 279,380 shares of Common Stock. Pursuant to Reg. Section 240.16a-1(a)(2), the Reporting Person's and Mr. Park's beneficial ownership is limited to their pecuniary interest, if any, in such securities.