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CUSIP No. 846517100 | | SC 13D | | Page 9 of 9 |
Schedule A
TRANSACTIONS INVOLVING THE ORDINARY SHARES OF THE ISSUER DURING THE PAST 60 DAYS
On March 30, 2021, the Trust purchased, at a price of $2.39 per ADS, American-style call options referencing an aggregate of 22,100 ADSs, which are currently exercisable, have an exercise price of $5.00 per ADS and were exercised on April 16, 2021.
On March 31, 2021, the Trust purchased, at a price of $3.46 per ADS, American-style call options referencing an aggregate of 48,700 ADSs, which are currently exercisable, have an exercise price of $5.00 per ADS and expire on November 19, 2021.
On March 31, 2021, the Trust purchased, at a price of $3.10 per ADS, American-style call options referencing an aggregate of 2,000 ADSs, which are currently exercisable, have an exercise price of $5.00 per ADS and expire on November 19, 2021.
On April 5, 2021, the Trust purchased, at a price of $3.49 per ADS, American-style call options referencing an aggregate of 73,500 ADSs, which are currently exercisable, have an exercise price of $5.00 per ADS and expire on November 19, 2021.
On April 6, 2021, the Trust purchased, at a price of $3.60 per ADS, American-style call options referencing an aggregate of 25,400 ADSs, which are currently exercisable, have an exercise price of $5.00 per ADS and expire on November 19, 2021.
On April 8, 2021, the Trust purchased 13,002 ADSs in the open market at a price of $7.34 per ADS.
On April 8, 2021, the Trust purchased, at a price of $2.80 per ADS, American-style call options referencing an aggregate of 10,000 ADSs, which are currently exercisable, have an exercise price of $7.50 per ADS and expire on May 21, 2021.
On April 8, 2021, the Trust purchased, at a price of $2.85 per ADS, American-style call options referencing an aggregate of 10,000 ADSs, which are currently exercisable, have an exercise price of $5.00 per ADS and expire on May 21, 2021.
On April 8, 2021, the Trust purchased, at a price of $0.95 per ADS, American-style call options referencing an aggregate of 10,000 ADSs, which are currently exercisable, have an exercise price of $5.00 per ADS and expire on August 20, 2021.
On April 9, 2021, the Trust purchased, at a price of $1.00 per ADS, American-style call options referencing an aggregate of 10,000 ADSs, which are currently exercisable, have an exercise price of $7.50 per ADS and expire on May 21, 2021.
On April 9, 2021, the Trust purchased, at a price of $0.40 per ADS, American-style call options referencing an aggregate of 10,000 ADSs, which are currently exercisable, have an exercise price of $10.00 per ADS and expire on May 21, 2021.
On April 9, 2021, the Trust purchased, at a price of $3.00 per ADS, American-style call options referencing an aggregate of 10,000 ADSs, which are currently exercisable, have an exercise price of $5.00 per ADS and expire on August 20, 2021.
On April 9, 2021, the Trust purchased, at a price of $3.00 per ADS, American-style call options referencing an aggregate of 10,000 ADSs, which are currently exercisable, have an exercise price of $5.00 per ADS and expire on August 20, 2021.
On April 9, 2021, the Trust purchased, at a price of $3.00 per ADS, American-style call options referencing an aggregate of 15,800 ADSs, which are currently exercisable, have an exercise price of $5.00 per ADS and expire on August 20, 2021.
On April 16, 2021, the Trust purchased 8,814 ADSs in the open market at a price of $6.88 per ADS.
On April 19, 2021, the Trust purchased 67,308 ADSs in the open market at a price of $7.36 per ADS.
On April 19, 2021, the Trust purchased 9,567 ADSs in the open market at a price of $7.11 per ADS.
On April 19, 2021, the Trust purchased, at a price of $3.20 per ADS, American-style call options referencing an aggregate of 30,000 ADSs, which are currently exercisable, have an exercise price of $5.00 per ADS and expire on November 19, 2021.
On April 19, 2021, the Trust purchased, at a price of $2.50 per ADS, American-style call options referencing an aggregate of 1,700 ADSs, which are currently exercisable, have an exercise price of $5.00 per ADS and expire on August 20, 2021.
On April 20, 2021, the Trust purchased 17,700 ADSs in the open market at a price of $7.27 per ADS.
On April 20, 2021, the Trust purchased, at a price of $2.84 per ADS, American-style call options referencing an aggregate of 50,000 ADSs, which are currently exercisable, have an exercise price of $5.00 per ADS and expire on August 20, 2021.