0001707925-24-000072.txt : 20240313
0001707925-24-000072.hdr.sgml : 20240313
20240313212846
ACCESSION NUMBER: 0001707925-24-000072
CONFORMED SUBMISSION TYPE: 4
PUBLIC DOCUMENT COUNT: 1
CONFORMED PERIOD OF REPORT: 20240311
FILED AS OF DATE: 20240313
DATE AS OF CHANGE: 20240313
REPORTING-OWNER:
OWNER DATA:
COMPANY CONFORMED NAME: Durbin Sean
CENTRAL INDEX KEY: 0001850358
ORGANIZATION NAME:
FILING VALUES:
FORM TYPE: 4
SEC ACT: 1934 Act
SEC FILE NUMBER: 001-38730
FILM NUMBER: 24747728
MAIL ADDRESS:
STREET 1: C/O LINDE PLC
STREET 2: THE PRIESTLEY CENTRE 10 PRIESTLEY ROAD
CITY: GUILDFORD, SURREY
STATE: X0
ZIP: GU2 XY7
ISSUER:
COMPANY DATA:
COMPANY CONFORMED NAME: LINDE PLC
CENTRAL INDEX KEY: 0001707925
STANDARD INDUSTRIAL CLASSIFICATION: INDUSTRIAL INORGANIC CHEMICALS [2810]
ORGANIZATION NAME: 08 Industrial Applications and Services
IRS NUMBER: 000000000
STATE OF INCORPORATION: L2
FISCAL YEAR END: 1231
BUSINESS ADDRESS:
STREET 1: FORGE, 43 CHURCH STREET WEST
CITY: WOKING SURREY
STATE: X0
ZIP: GU216HT
BUSINESS PHONE: 00441483242200
MAIL ADDRESS:
STREET 1: FORGE, 43 CHURCH STREET WEST
CITY: WOKING SURREY
STATE: X0
ZIP: GU216HT
FORMER COMPANY:
FORMER CONFORMED NAME: ZAMALIGHT PLC
DATE OF NAME CHANGE: 20170622
FORMER COMPANY:
FORMER CONFORMED NAME: PRAXAIR
DATE OF NAME CHANGE: 20170614
FORMER COMPANY:
FORMER CONFORMED NAME: ZAMALIGHT PLC
DATE OF NAME CHANGE: 20170530
4
1
wk-form4_1710379715.xml
FORM 4
X0508
4
2024-03-11
0
0001707925
LINDE PLC
LIN
0001850358
Durbin Sean
C/O LINDE PLC
FORGE, 43 CHURCH STREET WEST
WOKING SURREY
X0
GU216HT
UNITED KINGDOM
0
1
0
0
Executive VP, North America
1
Ordinary Shares
2024-03-11
4
M
0
5430
0
A
13579
D
Ordinary Shares
2024-03-11
4
F
0
2622.691
462.55
D
10956.309
D
Ordinary Shares
2024-03-11
4
M
0
2970
0
A
13926.309
D
Ordinary Shares
2024-03-11
4
F
0
1434.511
462.55
D
12491.798
D
Ordinary Shares
2024-03-11
4
M
0
1810
0
A
14301.798
D
Ordinary Shares
2024-03-11
4
F
0
874.231
462.55
D
13427.567
D
Ordinary Shares
2024-03-12
4
S
0
5277
467.39
D
8150.567
D
Performance Share Units
2024-03-11
4
A
0
5430
0
A
Ordinary Shares
5430
5430
D
Performance Share Units
2024-03-11
4
M
0
5430
0
D
Ordinary Shares
5430
0
D
Performance Share Units
2024-03-11
4
A
0
2970
0
A
Ordinary Shares
2970
2970
D
Performance Share Units
2024-03-11
4
M
0
2970
0
D
Ordinary Shares
2970
0
D
Restricted Stock Units
Ordinary Shares
1470
1470
D
Restricted Stock Units
Ordinary Shares
1430
1430
D
Restricted Stock Units
Ordinary Shares
1595
1595
D
Restricted Stock Units
2024-03-11
4
M
0
1810
0
D
Ordinary Shares
1810
0
D
Stock Options (right to buy)
465.29
2025-03-07
2034-03-07
Ordinary Shares
9510
9510
D
Stock Options (right to buy)
354.14
2024-03-07
2033-03-07
Ordinary Shares
10540
10540
D
Stock Options (right to buy)
270.99
2023-03-07
2032-03-07
Ordinary Shares
12395
12395
D
Stock Options (right to buy)
253.68
2022-03-08
2031-03-08
Ordinary Shares
19070
19070
D
Stock Options (right to buy)
173.13
2021-03-09
2030-03-09
Ordinary Shares
7045
7045
D
Stock Options (right to buy)
176.63
2029-03-20
Ordinary Shares
7795
7795
D
Stock Options
154
2019-02-27
2028-02-27
Ordinary Shares
12170
12170
D
Stock Options (right to buy)
118.71
2027-02-28
Ordinary Shares
5945
5945
D
Deferred Stock Units
Ordinary Shares
290.184
290.184
D
Ordinary shares acquired pursuant to the payout of a performance share unit ("PSU") grant made on March 8, 2021.
Ordinary shares withheld from the payout to cover tax withholdings.
Ordinary shares acquired pursuant to the payout of a restricted stock unit grant made on March 8, 2021.
This transaction is pursuant to a 10b5-1 plan dated June 15, 2023.
The PSU paid out on March 11, 2024 and the number of shares awarded and paid out was determined based upon the average annual return on capital ("ROC") of Linde plc from 2021-2023 measured against ROC goals set by the Human Capital Committee of the Board of Directors when the PSU was granted in 2021.
The PSU paid out on March 11, 2023 and the number of shares awarded and paid out was determined based upon the average annual total shareholder return ("TSR") of Linde plc from 2021-2023 measured against TSR goals set by the Human Capital Committee of the Board of Directors when the PSU was granted in 2021.
Restricted Stock Units that will vest in full and payout on or about March 7, 2027 in Linde plc Ordinary Shares on a one-for-one basis.
Restricted Stock Units that will vest in full and payout on or about March 7, 2025 in Linde plc Ordinary Shares on a one-for-one basis
Restricted Stock Units that will vest in full and payout on or about March 7, 2026 in Linde plc Ordinary Shares on a one-for-one basis.
Restricted Stock Units that vested in full and paid out on March 11, 2024 in Linde plc Ordinary Shares on a one-for-one basis.
This option vests over three years in three consecutive equal annual installments beginning on March 7, 2025.
This option vests over three years in three consecutive equal annual installments beginning on March 7, 2024.
This option vests over three years in three consecutive equal annual installments beginning on March 7, 2023.
This option vests over three years in three consecutive equal annual installments beginning on March 8, 2022.
This option vests over three years in three consecutive equal annual installments beginning on March 9, 2021.
This option vests over three years in three consecutive equal annual installments beginning on March 20,2020.
This option vests over three years in three consecutive equal annual installments beginning on February 27, 2019.
This option vests over three years in three consecutive equal annual installments beginning on February 28, 2018.
Conversion to Linde plc Ordinary Shares is on a one-to-one basis.
Deferred stock units acquired under the Linde Compensation Deferral Plan as amended ("Plan"). The deferred stock units will payout in Linde plc Ordinary Shares on a one-for-one basis in accordance with the Plan.
Anthony M. Pepper as attorney-in-fact
2024-03-13