0001562180-24-001525.txt : 20240221 0001562180-24-001525.hdr.sgml : 20240221 20240221161816 ACCESSION NUMBER: 0001562180-24-001525 CONFORMED SUBMISSION TYPE: 4 PUBLIC DOCUMENT COUNT: 1 CONFORMED PERIOD OF REPORT: 20240216 FILED AS OF DATE: 20240221 DATE AS OF CHANGE: 20240221 REPORTING-OWNER: OWNER DATA: COMPANY CONFORMED NAME: PIO DOMENIC CENTRAL INDEX KEY: 0001197038 ORGANIZATION NAME: FILING VALUES: FORM TYPE: 4 SEC ACT: 1934 Act SEC FILE NUMBER: 001-34370 FILM NUMBER: 24659760 MAIL ADDRESS: STREET 1: 1001 FANNIN ST STREET 2: STE 4000 CITY: HOUSTON STATE: TX ZIP: 77002 ISSUER: COMPANY DATA: COMPANY CONFORMED NAME: Waste Connections, Inc. CENTRAL INDEX KEY: 0001318220 STANDARD INDUSTRIAL CLASSIFICATION: REFUSE SYSTEMS [4953] ORGANIZATION NAME: 01 Energy & Transportation IRS NUMBER: 000000000 STATE OF INCORPORATION: A6 FISCAL YEAR END: 1231 BUSINESS ADDRESS: STREET 1: 6220 HWY 7 STREET 2: SUITE 600 CITY: WOODBRIDGE STATE: A6 ZIP: L4H 4G3 BUSINESS PHONE: (905) 532-7510 MAIL ADDRESS: STREET 1: 6220 HWY 7 STREET 2: SUITE 600 CITY: WOODBRIDGE STATE: A6 ZIP: L4H 4G3 FORMER COMPANY: FORMER CONFORMED NAME: Progressive Waste Solutions Ltd. DATE OF NAME CHANGE: 20110503 FORMER COMPANY: FORMER CONFORMED NAME: IESI-BFC Ltd DATE OF NAME CHANGE: 20090522 FORMER COMPANY: FORMER CONFORMED NAME: BFI Canada Ltd DATE OF NAME CHANGE: 20081015 4 1 primarydocument.xml PRIMARY DOCUMENT X0508 4 2024-02-16 false 0001318220 Waste Connections, Inc. WCN 0001197038 PIO DOMENIC 6220 HIGHWAY 7 SUITE 600 WOODBRIDGE A6 L4H 4G3 ONTARIO, CANADA false true false false SR VP Operations false Common Shares 2024-02-17 4 M false 727.00 0.00 A 11061.00 D Common Shares 2024-02-17 4 F false 390.00 167.7776 D 10671.00 D Common Shares 2024-02-18 4 M false 864.00 0.00 A 11535.00 D Common Shares 2024-02-18 4 F false 463.00 167.7776 D 11072.00 D Common Shares 2024-02-19 4 M false 1031.00 0.00 A 12103.00 D Common Shares 2024-02-19 4 F false 552.00 167.7776 D 11551.00 D Common Shares 2024-02-19 4 M false 4469.00 0.00 A 16020.00 D Common Shares 2024-02-19 4 F false 2393.00 167.7776 D 13721.00 D Restricted Share Units 0.00 2024-02-16 4 A false 2741.00 0.00 A Common Shares 2741.00 2741.00 D Restricted Share Units 0.00 2024-02-16 4 A false 2741.00 0.00 A Common Shares 2741.00 2741.00 D Restricted Share Units 0.00 2024-02-17 4 M false 727.00 0.00 D Common Shares 727.00 1453.00 D Restricted Share Units 0.00 2024-02-18 4 M false 864.00 0.00 D Common Shares 864.00 864.00 D Restricted Share Units 0.00 2024-02-19 4 M false 1031.00 0.00 D Common Shares 1031.00 0.00 D Performance Share Units 0.00 2024-02-19 4 M false 4469.00 0.00 D Common Shares 4469.00 0.00 D Represents shares withheld by the Issuer in satisfaction of the applicable withholding taxes due in connection with the vesting of restricted share units and delivery of the converted common shares. For purposed of this disclosure, Canadian dollar amounts have been converted to U.S. dollars. CAN $226.39 = US $167.7776 Due to an administrative error, the number of shares reported as beneficially owned on the Reporting Person's Form 3 was incorrect. The number of shares beneficially owned has been corrected to include the 94 shares not previously reported on the Form 3. Represents an award of restricted share units. The award shall vest 33 1/3% per year over a three-year period following the date of grant. Represents an award of performance-based restricted share units. The target number of units is presented in the table. Subject to certain continued employment conditions and subject to accelerated vesting in certain circumstances, the number of units that actually vest at the end of the three-year performance period will be 0% to 250% of the scheduled amount, depending on the extent to which the Issuer meets or exceeds certain performance goals at the end of each year during the performance period. The maximum number of units that may vest at the end of the three-year performance period is 6,852 (250% of the target number). Represents the conversion upon vesting of restricted share units into common shares of the Issuer. The restricted share units were awarded on February 17, 2023 and vest in three equal annual installments. The common shares are reported in Table 1. Represents the conversion upon vesting of restricted share units into common shares of the Issuer. The restricted share units were awarded on February 18, 2022 and vest in three equal annual installments. The common shares are reported in Table 1. Represents the conversion upon vesting of restricted share units into common shares of the Issuer. The restricted share units were awarded on February 19, 2021 and vest in three equal annual installments. The common shares are reported in Table 1. Represents the conversion upon vesting of a performance-based restricted share unit award into common shares of the Issuer. The award was granted on February 19, 2021 and contained performance goals that the Issuer achieved over the three-year performance period from January 1, 2021 to December 31, 2023. The number of earned award units that vested at the end of the three-year performance period, as determined by the Compensation Committee of the Issuer's Board of Directors, was 144.5% of the target number of shares subject to the award. The common shares are reported on Table 1. Domenico (Dan) Pio 2024-02-21