Form SCHEDULE 13D/A - General Statement of Acquisition of Beneficial Ownership: [Amend]
11 Abril 2025 - 3:49PM
Edgar (US Regulatory)
Exhibit 99.A
SCHEDULE A
Transactions in Securities of the Issuer During the Past Sixty
Days
Reporting Person |
Date
of
Transaction |
Number
of
Shares Acquired |
Price
Per Share* |
Low
Price |
High
Price |
Juniper
Targeted Opportunity Fund, L.P. |
March
3, 2025 |
10,000 |
$16.93
|
$16.86
|
$16.99
|
Juniper
Targeted Opportunity Fund, L.P. |
March
10, 2025 |
18,644 |
$16.82
|
$16.50
|
$16.98
|
Juniper
Targeted Opportunity Fund, L.P. |
March
11, 2025 |
10,016 |
$16.73
|
$16.52
|
$16.79
|
Juniper
Targeted Opportunity Fund, L.P. |
March
13, 2025 |
31,000 |
$16.47
|
$16.18
|
$16.59
|
Juniper
Targeted Opportunity Fund, L.P. |
March
17, 2025 |
894 |
$16.41
|
$16.41
|
$16.41
|
Juniper
Targeted Opportunity Fund, L.P. |
March
20, 2025 |
3,358 |
$16.60
|
$16.60
|
$16.60
|
Juniper
Targeted Opportunity Fund, L.P. |
March
21, 2025 |
489 |
$16.49
|
$16.47
|
$16.49
|
Juniper
Targeted Opportunity Fund, L.P. |
March
25, 2025 |
6,000 |
$16.49
|
$16.46
|
$16.50
|
Juniper
Targeted Opportunity Fund, L.P. |
March
26, 2025 |
19,213 |
$16.29
|
$16.23
|
$16.35
|
Juniper
Targeted Opportunity Fund, L.P. |
March
27, 2025 |
8,909 |
$16.21
|
$16.13
|
$16.25
|
Juniper
Targeted Opportunity Fund, L.P. |
March
28, 2025 |
30,402 |
$15.97
|
$15.86
|
$16.06
|
Juniper
Targeted Opportunity Fund, L.P. |
March
31, 2025 |
61,200 |
$16.22
|
$15.76
|
$16.41
|
Juniper
Targeted Opportunity Fund, L.P. |
April
1, 2025 |
31,400 |
$16.10
|
$15.97
|
$16.20
|
Juniper
Targeted Opportunity Fund, L.P. |
April
2, 2025 |
56,268 |
$16.14
|
$15.80
|
$16.30
|
Juniper
Targeted Opportunity Fund, L.P. |
April
3, 2025 |
58,558 |
$15.75
|
$15.53
|
$15.98
|
Juniper
Targeted Opportunity Fund, L.P. |
April
4, 2025 |
33,800 |
$14.75
|
$14.53
|
$14.96
|
Juniper
Targeted Opportunities, L.P. |
April
8, 2025 |
20,700 |
$14.52
|
$14.12
|
$14.75
|
Juniper
Targeted Opportunities, L.P. |
April
9, 2025 |
30,400 |
$14.64
|
$13.80
|
$15.00
|
*The Price Per Share reported above is a weighted average price. The
Shares were acquired in multiple transactions at a range of prices as reflected in the table above. Upon request, the Reporting Persons
undertake to provide the Issuer, any security holder of the Issuer, or the SEC full information regarding the Shares purchased at each
separate price within the ranges set forth above.
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