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EdgarHawk

RAMSAY DAVID A

Director

Director
2 filings analyzed · 1 company · Latest 2025-04-01

Companies

Company Buys Sells Direction
Savara Inc SVRA 2 0 Net buying

Activity

April 2025
2025-04-01 Savara Inc SVRA
medium
Buy
150,000 shares
$416,250
Significance 4/10

Director David A Ramsay bought 150,000 SVRA shares at $2.78 on 2025-03-31, bringing holdings to 2,513,642 shares (+6.3%)

Director David A Ramsay purchased 150,000 shares of Savara Inc for $416,250.00 on 2025-03-31 at $2.78 per share, increasing his stake by 6.3% to 2.51M shares. The buy occurred when the stock traded near the bottom of its 52-week range, 46.4% below the 52-week high, and the 30-day price momentum has improved +14.9% since the purchase. However, this transaction must be contextualized against Ramsay's prior trading record: his one previous purchase at SVRA in November 2024 at the same price point generated a 90-day return of -2.0%, and across all tickers he has a 0% win rate at the 90-day measurement horizon. The company remains deeply unprofitable with net income of $-24,248,000.00 and zero revenue in the latest quarter, making the fundamental backdrop highly uncertain.

November 2024
2024-11-18 Savara Inc SVRA
high
Buy
100,000 shares
$287,600
Significance 6/10

Director David Ramsay purchases 100,000 shares of SVRA at $2.88; stock down 47% from 52-week high, company unprofitable with $-24.2M net income.

Director David A. Ramsay purchased 100,000 shares at $2.88 on 2024-11-18, increasing his holdings to 2,323,642 shares. The transaction occurs against a sharply deteriorating stock backdrop: the security has declined 47.0% from its 52-week high of $5.59 and 21.3% over the past 30 days. Savara remains unprofitable with a net loss of $24,248,000 on zero revenue in the latest quarter, indicating the company is in an early-stage or turnaround phase. The director's open-market purchase at depressed valuations, combined with the magnitude of the position increase (+4.5%), warrants examination of whether this reflects insider confidence in recovery prospects or other strategic considerations not evident from price action alone.

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