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EdgarHawk

Klisura Dean Michael

President & CEO, Guy Carpenter

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

Companies

Company Buys Sells Direction
MARSH & MCLENNAN COMPANIES, INC. MRSH 0 3 Net selling

Activity

April 2025
Sell
9,569 shares
$2,344,405
Significance 4/10

CEO Dean Michael Klisura sold 9,569 shares of MMC at $245.00 for $2,344,405.00; stock near 52-week high

Dean Michael Klisura, President & CEO of Guy Carpenter, sold 9,569 shares (31.4% of his pre-transaction holdings) at $245.00 on 2025-03-31, reducing his stake to 20,935 shares. The sale occurred near the company's 52-week high ($244.03), with the stock currently at $244.00 and up 14.9% over 90 days and 2.6% over 30 days. His cross-ticker track record shows a 90-day well-timed rate of 33.33% across all open-market sells, but at Marsh & McLennan specifically, only 1 of 3 prior measurable sells exhibited positive 90-day returns—a weak track record at this ticker. The company shows solid fundamentals (P/E 27.66, $5.7B in latest quarterly revenue, 7.6% annual growth), suggesting the sale reflects portfolio management rather than company-specific concern.

March 2025
medium
Sell
7,121 shares
$1,673,221
Significance 5/10

CEO Klisura Dean Michael sells 7,121 MMC shares at $234.97; holdings drop 25.4% to 20,935 shares.

Klisura Dean Michael, President & CEO of Guy Carpenter (a division of Marsh & McLennan), sold 7,121 shares at $234.97 on 2025-03-10 for $1,673,221.37, reducing his holdings by 25.4%. At his same-ticker history at MMC, his prior sells have delivered mixed timing: the 2024-03-08 and 2024-03-04 sales generated positive 30-day and 90-day returns, while the 2023-07-26 sale produced a -1.7% 90-day return, yielding a 33.33% well-timed rate across his three prior MMC sales. The current stock price of $233.11 lies 2.7% below the 52-week high and reflects recent momentum (30-day +2.5%, 90-day +8.8%), while MMC maintains solid fundamentals with $5.7B revenue, $747.0M net income, and 7.6% annual growth at a P/E of 26.43. The sale occurs near a price peak and follows a pattern of generally positive post-sale returns at this ticker, though the volume and proximity to the 52-week high merit observation relative to prior disposal patterns.

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