SEC Form 4 · accession 0001144204-15-006615
LAKELAND INDUSTRIES INC · LAKE
Statement of changes in beneficial ownership, as filed. Original on EDGAR ↗
Reporting owner
Alfred John Kreft
Director
Period of report
Nov 19, 2004
Accepted (ET)
Feb 6, 2015 · 2:09 pm EST
Rule 10b5-1 plan
unknown — predates the checkbox
Issuer CIK
0000798081
Table I — non-derivative securities
| Security | Date | Code | Shares | Price | A/D | Owned after | D/I | Nature of ownership |
|---|---|---|---|---|---|---|---|---|
| Common Stock, par value $.01 per share | Jul 21, 2006 | P | 2,200 | $14.25 | A | 2,200 | D | |
| Common Stock, par value $.01 per shareF1 | Jul 21, 2006 | A | 1,100 | $0.00 | A | 3,300 | D | |
| Common Stock, par value $.01 per shareF2 | Jun 21, 2009 | A | 2,200 | $0.00 | A | 5,500 | D | |
| Common Stock, par value $.01 per shareF3 | Jun 18, 2012 | A | 8,844 | $0.00 | A | 14,344 | D |
Table II — derivative securities
| Security | Conv. / exercise price | Date | Code | Shares | A/D | Exercisable | Expires | Underlying | Underlying shares | Owned after | D/I |
|---|---|---|---|---|---|---|---|---|---|---|---|
| Stock Options | $19.00 | Nov 19, 2004 | A | 5,000 | A | May 19, 2005 | Nov 18, 2010 | Common Stock | 5,000 | 5,000 | D |
| Stock Options | $13.10 | Jun 18, 2008 | A | 1,000 | A | Dec 18, 2008 | Jun 18, 2014 | Common Stock | 1,000 | 1,000 | D |
| Stock Options | $8.21 | Jun 15, 2011 | A | 1,000 | A | Dec 15, 2011 | Jun 15, 2017 | Common Stock | 1,000 | 1,000 | D |
Explanation of responses
- F1Restricted Shares granted pursuant to the 2006 Incentive Plan which vest on the second anniversary of the date of grant
- F2Restricted Shares granted pursuant to the 2006 Incentive Plan which vest on the third anniversary of the date of grant.
- F3Restricted Shares granted pursuant to the 2009 Restricted Stock Plan which vest on the third anniversary of the date of grant.
Remarks
This Form 4 is being filed by Reporting Person to correct certain transactions incorrectly reported by Reporting Person from the time Reporting Person first became subject to the filing requirements of Section 16 of the Securities Exchange Act of 1934, as amended, in November 2004 (the "Initial Filing Date"). For ease of reference, this Form 4 includes all of Reporting Person's transactions in the securities of the Issuer since the Initial Filing Date.