Transaction · 0001437749-26-029196

MAIER PAUL V

MAIER PAUL V, DIR, reported a transaction classified as exercise at Eton Pharmaceuticals, Inc. involving 50000.000000 shares for an estimated $189000.00. Reported holdings after the transaction were 109745.000000 shares. A 10b5-1 reference was not detected in the stored filing text.

exerciseSEC transaction code MDIR
ETONEton Pharmaceuticals, Inc.
Filing timeAug 28
Trade dateAug 28, 2026
Filing · SECView on SEC
InsiderProfile

Price performance since filing

Close on the filing date, the pre-filing context, and the forward return at standard windows
Price at filing
Pre-filing
Returns since

ETON price since this filing

30 days of pre-filing context and vertical markers at the filing date plus 7d / 30d / 90d / 180d / 1y afterwards
ETON since 2026-08-28Filed 7 days ago · 30 days of pre-filing context shaded
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Filing datePost-filing windows (7d, 30d, 90d, 180d, 1y)30 days of pre-filing context

Transaction facts

Stored Form 4 columns with their raw values

Non-derivative
Type
exercise
Code M
Identifier
0001437749-26-029196
Common Stock
Transaction date
Aug 28, 2026
Filed Aug 28, 2026, 08:51 PM · 0d delay
Shares
50.0k sh
$378 per share
Estimated value
$18.9M
Computed from shares × price
Holdings after
109k sh
Direct

Filing signal explanations

Badges describe filing facts only — not predictions.

Cluster 14dRepeat 30dPattern $10.0MLarge $100M
Direct Ownership Large Holdings Increase
+10score
Filing-only score

+10

Compact filing score computed from stored Form 4 facts. Version v1.

Positive filing signal

This filing has a modest positive filing-only score. Treat it as a useful flag for review, not as a buy signal.

Reported relationships & other filings

Form 4 relationship flags and nearby filing context

Reported roles

No officer title

Officer NoDirector Yes10% NoOther No
Footnotes & amended
  1. F1

    The Reporting Person will provide upon request by the Securities and Exchange Commission staff, the issuer, or a security holder of the issuer, full information regarding the number of shares purchase…

  2. F2

    The shares were sold in multiple trades at prices ranging from $58.50 to $58.97. The price reported above reflects the weighted average sales price.

  3. F3

    The shares subject to the option vested in 48 equal monthly installments from the date of grant (2-07-2022) until fully vested.

  4. F4

    The shares were sold in multiple trades at prices ranging from $60.00 to $61.00. The price reported above reflects the weighted average sales price.

  5. F5

    The shares were sold in multiple trades at prices ranging from $61.10 to $61.98. The price reported above reflects the weighted average sales price.

Original filing · 0001437749-26-029196
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