FIGURE TECHNOLOGY SOLUTIONS INC

Insider Trading & Executive Data

FIGR
NASDAQ
Financial Services
Capital Markets

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94 insider trades in the last year. Go beyond summary counts with transaction-level detail, compensation intelligence, and institutional ownership context.

Trade-level insider transactions with filing links, transaction codes, and footnotes
Executive compensation trends by role with year-over-year comparisons
Institutional ownership shifts by quarter with top-holder concentration data
Form 144 and Form 8-K monitoring with AI analysis and CSV export tools

Insider Activity Summary

Insider Trades (1Y)
94
1 in last 30 days
Buy / Sell (1Y)
24/70
Acquisitions / Dispositions
Unique Insiders (1Y)
10
Active in past year
Insider Positions
30
Current holdings
Position Status
13/17
Active / Exited
Institutional Holders
143
Latest quarter
Board Members
0

Compensation & Governance

Avg Total Compensation
N/A
Historical average
Executives Covered
0
Comp records available
Form 8-K Events (1Y)
0
Personnel Changes (1Y)
0
Bonus Plan Events (1Y)
0
Organization Changes (1Y)
0
Board Appointments (1Y)
0
Board Departures (1Y)
0

Restricted Sales

Form 144 Filings (1Y)
1
Form 144 Insiders (1Y)
1
Planned Sale Shares (1Y)
200.1K
Planned Sale Value (1Y)
$8.0M
Price
$25.37
Market Cap
$5.4B
Volume
122,009.162
EPS
$0.34
Revenue
$156.4M
Employees
N/A
About FIGURE TECHNOLOGY SOLUTIONS INC

Company Overview

FIGURE TECHNOLOGY SOLUTIONS INC (FIGR) operates in the Financial Services sector within the Capital Markets / Loan Brokers space. While no company filings were provided, firms in this category typically provide loan origination, loan brokering, securitization facilitation, and capital market services—often leveraging fintech platforms to match borrowers and investors or to package loan assets. Headquarters in Nevada suggests a U.S.-focused regulatory and state-licensing environment but many capital-markets activities have national reach. For users of this app, treat FIGR as a financial services / capital-markets small-cap where balance-sheet moves, funding announcements, and lending-volume disclosures materially affect valuation.

Executive Compensation Practices

Companies in the Financial Services / Capital Markets sector commonly structure pay with a modest base salary plus variable, performance-based compensation tied to origination volume, fee revenue, net interest margin, EBITDA, or successful securitizations/asset sales. For a loan-broker/fintech profile, equity incentives (stock options, restricted stock units) and deal-based bonuses are frequent to align management with growth, capital-raising, and long-term asset performance; performance vesting and clawback language are also common. If FIGR is a smaller, growth-stage company, expect a higher mix of equity and milestone-based payouts versus cash; conversely, larger/regulatory-sensitive firms often emphasize risk-adjusted metrics and compensation governance to limit credit and compliance risk. Investors should watch proxy statements for metrics that drive bonuses (loan volume, revenue per loan, default rates, capital-raising milestones) because those metrics indicate what behaviors leadership is rewarded for.

Insider Trading Considerations

Insider trades at capital-markets and loan-brokering firms can signal management views on upcoming funding rounds, securitizations, or loan-portfolio health; open-market purchases by executives are often read as confidence in origination pipelines, while large or timed sales can be liquidity-driven or signal concerns. These companies are frequently small-cap and thinly traded, so even modest insider transactions can move the stock and be more informative (or misleading) than in large-cap peers. Expect standard regulatory controls: Section 16 reporting, pre-clearance policies, and use of 10b5-1 plans; deviations from these patterns (late filings, sales immediately before negative disclosures) warrant closer scrutiny. Researchers and traders should correlate insider activity with operational updates (loan volume, delinquency/charge-off trends, capital raises, and regulatory actions) to better interpret the informational content of trades.

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