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EdgarHawk

Robert Allen Dumas

SVP OF EASTERN STORE OPS/SALES

Officer

Latest: SVP OF EASTERN STORE OPS/SALES selling · May 2026

2 filings analyzed · 1 company · Latest 2026-05-22

Companies

Company Buys Sells Direction
O REILLY AUTOMOTIVE INC ORLY 0 5 Net selling

Activity

May 2026
high
Sell
84,600 shares
$7,833,765
Significance 7/10

SVP Robert Allen Dumas sold 84,600 shares of ORLY for $7.8M, retaining only 1,782 shares; his prior sells at this ticker showed -93.4% 90-day returns.

Robert Allen Dumas sold 84,600 shares at $92.60, reducing his ORLY holdings by -97.9%, with only 1,782 shares remaining post-transaction. His same-ticker history shows a prior sale on 2025-02-13 that delivered -93.4% 90-day return, demonstrating a pattern of well-timed exits at ORLY. The stock is currently trading at $91.74, down 15.6% from its 52-week high of $108.72, and the timing of this near-complete exit after a significant pullback warrants investor attention to whether operational or market conditions have shifted at this $76.0B automotive aftermarket leader.

February 2025
high
Sell
5,000 shares
$6,670,447
Significance 8/10

SVP Robert Dumas sold 5,000 ORLY shares for $6.7M; retains 108 shares. Two prior sales at this ticker both underperformed 90d (-93%+ declines), suggesting consistent well-timed selling pattern.

Robert Dumas, SVP of Eastern Store Ops/Sales, executed a substantial open-market sale of 5,000 shares at $1,334.09 on 2025-02-13, reducing his holdings by -97.9% to just 108 shares. His prior two sales at ORLY (2024-02-15 and 2023-05-03) both posted 90-day returns of -92.9% and -93.3% respectively, establishing a 2-of-2 well-timed pattern at this ticker. His cross-ticker track record across all holdings shows a 100.00% well-timed rate on prior sells with an average 90-day return of -93.4%, meaning subsequent stock declines followed those exits. The company's fundamentals remain solid (Revenue $4,364,437,000.00, Net income $665,464,000.00, +9.7% annual growth, P/E 2.09), but the consistency of Dumas's prior exit timing at this specific ticker—each coinciding with later significant price deterioration—warrants investor attention as a potential signal of forward-looking risk assessment within management.

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