DATADOG, INC. (DDOG)

Director Pomel Olivier 🟡 adjusted position in 42.4K shares (5 derivative) of Datadog, Inc. (DDOG) at $128.66 ($5.8M) Transaction Date: Mar 16, 2026 | Filing ID: 000083

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  • News bot March 18, 2026, 8:07 p.m.

    🔍 Pomel Olivier (Director)

    Company: Datadog, Inc. (DDOG)

    Report Date: 2026-03-16

    Transaction Summary:

    • Total transactions: 10
    • Derivative instruments: 5
    • Holdings reported: 0
    • Total shares acquired: 116,276
    • Total shares sold: 158,719

    Detailed Transactions and Holdings:

    • Acquired 42,443 shares of Class A Common Stock (Direct)
      Date: 2026-03-16 | Code: C | equity_swap_involved: 0 | shares_owned_after: 747,264.00 | transaction_form_type: 4 | Footnotes: F1
    • Sold 11,243 shares of Class A Common Stock at $126.1077 per share (Direct)
      Date: 2026-03-16 | Code: S | equity_swap_involved: 0 | shares_owned_after: 736,021.00 | transaction_form_type: 4 | Footnotes: F2, F3
    • Sold 24,070 shares of Class A Common Stock at $126.7826 per share (Direct)
      Date: 2026-03-16 | Code: S | equity_swap_involved: 0 | shares_owned_after: 711,951.00 | transaction_form_type: 4 | Footnotes: F2, F4
    • Sold 5,853 shares of Class A Common Stock at $127.7658 per share (Direct)
      Date: 2026-03-16 | Code: S | equity_swap_involved: 0 | shares_owned_after: 706,098.00 | transaction_form_type: 4 | Footnotes: F2, F5
    • Sold 1,277 shares of Class A Common Stock at $128.6608 per share (Direct)
      Date: 2026-03-16 | Code: S | equity_swap_involved: 0 | shares_owned_after: 704,821.00 | transaction_form_type: 4 | Footnotes: F2, F6
    • Sold 38,118 shares of Stock Option (Right to Buy) at $0.9092 per share (Derivative)
      Date: 2026-03-16 | Code: M | Expires: 2027-10-24 | equity_swap_involved: 0 | shares_owned_after: 419,298.00 | transaction_form_type: 4 | Footnotes: F7
    • Acquired 38,118 shares of Class B Common Stock (Derivative)
      Date: 2026-03-16 | Code: M | equity_swap_involved: 0 | shares_owned_after: 9,001,343.00 | transaction_form_type: 4 | Footnotes: F1, F1, F1
    • Sold 35,715 shares of Stock Option (Right to Buy) at $10.74 per share (Derivative)
      Date: 2026-03-16 | Code: M | Expires: 2029-07-18 | equity_swap_involved: 0 | shares_owned_after: 845,453.00 | transaction_form_type: 4 | Footnotes: F7
    • Acquired 35,715 shares of Class B Common Stock (Derivative)
      Date: 2026-03-16 | Code: M | equity_swap_involved: 0 | shares_owned_after: 9,037,058.00 | transaction_form_type: 4 | Footnotes: F1, F1, F1
    • Sold 42,443 shares of Class B Common Stock (Derivative)
      Date: 2026-03-16 | Code: C | equity_swap_involved: 0 | shares_owned_after: 8,994,615.00 | transaction_form_type: 4 | Footnotes: F1, F1, F1

    Footnotes:

    • F1: Each share of Class B Common Stock is convertible at any time at the option of the Reporting Person into one share of Class A Common Stock and has no expiration date. Each share of Class B Common Stock will convert automatically into one share of Class A Common Stock upon the earliest of: (i) any transfer, whether or not for value, except for certain "Permitted Transfers" as defined in the Issuer's amended and restated certificate of incorporation, (ii) the death of the Reporting Person in the case of shares held directly or in a trustee capacity, and (iii) the tenth anniversary of the Issuer's initial public offering of its Class A Common Stock.
    • F2: Shares sold pursuant to a 10b5-1 plan dated December 15, 2025.
    • F3: Price reported is a weighted-average sales price. The shares were sold at prices ranging from $125.42 to $126.40. The Reporting Person will provide upon request to the SEC, the Issuer or security holder of the Issuer, full information regarding the number of shares sold at each separate price.
    • F4: Price reported is a weighted-average sales price. The shares were sold at prices ranging from $126.42 to $127.41. The Reporting Person will provide upon request to the SEC, the Issuer or security holder of the Issuer, full information regarding the number of shares sold at each separate price.
    • F5: Price reported is a weighted-average sales price. The shares were sold at prices ranging from $127.42 to $128.39. The Reporting Person will provide upon request to the SEC, the Issuer or security holder of the Issuer, full information regarding the number of shares sold at each separate price.
    • F6: Price reported is a weighted-average sales price. The shares were sold at prices ranging from $128.42 to $129.13. The Reporting Person will provide upon request to the SEC, the Issuer or security holder of the Issuer, full information regarding the number of shares sold at each separate price.
    • F7: Option is fully vested and exercisable.