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Walt Disney Co. – ‘10-K’ for 10/1/22 – ‘EX-10.58’

On:  Tuesday, 11/29/22, at 5:03pm ET   ·   For:  10/1/22   ·   Accession #:  1744489-22-213   ·   File #:  1-38842

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  As Of               Filer                 Filing    For·On·As Docs:Size

11/29/22  Walt Disney Co.                   10-K       10/01/22  165:23M

Annual Report   —   Form 10-K

Filing Table of Contents

Document/Exhibit                   Description                      Pages   Size 

 1: 10-K        Annual Report                                       HTML   5.07M 
 2: EX-10.23    Material Contract                                   HTML     63K 
 3: EX-10.26    Material Contract                                   HTML     73K 
 4: EX-10.44    Material Contract                                   HTML     82K 
 5: EX-10.57    Material Contract                                   HTML     80K 
 6: EX-10.58    Material Contract                                   HTML     58K 
 7: EX-10.59    Material Contract                                   HTML     76K 
 8: EX-10.60    Material Contract                                   HTML     78K 
 9: EX-10.61    Material Contract                                   HTML     77K 
10: EX-10.62    Material Contract                                   HTML     77K 
11: EX-21       Subsidiaries of the Company                         HTML     66K 
12: EX-22       List of Guarantor Subsidiaries                      HTML     45K 
13: EX-23       Consent of Pricewaterhousecoopers LLP               HTML     44K 
14: EX-31.A     Section 302 Certification of Chief Executive        HTML     51K 
                Officer                                                          
15: EX-31.B     Section 302 Certification of Chief Financial        HTML     51K 
                Officer                                                          
16: EX-32.A     Section 906 Certification of Chief Executive        HTML     46K 
                Officer                                                          
17: EX-32.B     Section 906 Certification of Chief Financial        HTML     47K 
                Officer                                                          
23: R1          Document and Entity Information                     HTML    104K 
24: R2          Audit Information                                   HTML     50K 
25: R3          Consolidated Statements of Operations               HTML    163K 
26: R4          Consolidated Statements of Operations               HTML     48K 
                (Parenthetical)                                                  
27: R5          Consolidated Statements of Comprehensive Income     HTML     84K 
                (Loss)                                                           
28: R6          Consolidated Balance Sheets                         HTML    188K 
29: R7          Consolidated Balance Sheets (Parenthetical)         HTML     53K 
30: R8          Consolidated Statements of Cash Flows               HTML    148K 
31: R9          Consolidated Statements of Shareholders' Equity     HTML     92K 
32: R10         Description of the Business and Segment             HTML    251K 
                Information                                                      
33: R11         Summary of Significant Accounting Policies          HTML    129K 
34: R12         Revenues                                            HTML    139K 
35: R13         Other Income (Expense), Net                         HTML     63K 
36: R14         Investments                                         HTML     54K 
37: R15         International Theme Parks                           HTML     73K 
38: R16         Produced and Acquired/Licensed Content Costs and    HTML     99K 
                Advances                                                         
39: R17         Borrowings                                          HTML    137K 
40: R18         Income Taxes                                        HTML    160K 
41: R19         Pension and Other Benefit Programs                  HTML    292K 
42: R20         Equity                                              HTML    168K 
43: R21         Equity-Based Compensation                           HTML    121K 
44: R22         Detail of Certain Balance Sheet Accounts            HTML     96K 
45: R23         Commitments and Contingencies                       HTML     70K 
46: R24         Leases                                              HTML    180K 
47: R25         Fair Value Measurement                              HTML    116K 
48: R26         Derivative Instruments                              HTML    169K 
49: R27         Restructuring and Impairment Charges                HTML     59K 
50: R28         New Accounting Pronouncements                       HTML     60K 
51: R29         Summary of Significant Accounting Policies          HTML    182K 
                (Policies)                                                       
52: R30         Description of the Business and Segment             HTML    236K 
                Information (Tables)                                             
53: R31         Summary of Significant Accounting Policies          HTML     76K 
                (Tables)                                                         
54: R32         Revenues (Tables)                                   HTML    134K 
55: R33         Other Income , Net (Tables)                         HTML     62K 
56: R34         Investments (Tables)                                HTML     52K 
57: R35         International Theme Parks (Tables)                  HTML     72K 
58: R36         Produced and Acquired/Licensed Content Costs and    HTML    102K 
                Advances (Tables)                                                
59: R37         Borrowings (Tables)                                 HTML    134K 
60: R38         Income Taxes (Tables)                               HTML    165K 
61: R39         Pension and Other Benefit Programs (Tables)         HTML    292K 
62: R40         Equity (Tables)                                     HTML    167K 
63: R41         Equity-Based Compensation (Tables)                  HTML    124K 
64: R42         Detail of Certain Balance Sheet Accounts (Tables)   HTML    104K 
65: R43         Commitments and Contingencies (Tables)              HTML     67K 
66: R44         Leases (Tables)                                     HTML    133K 
67: R45         Fair Value Measurement (Tables)                     HTML    110K 
68: R46         Derivative Instruments (Tables)                     HTML    172K 
69: R47         Restructuring and Impairment Charges (Tables)       HTML     57K 
70: R48         Financial Information by Operating Segments         HTML     78K 
                (Details)                                                        
71: R49         Equity in the Income of Investees Included in       HTML     57K 
                Segment Operating Results Footnote (Details)                     
72: R50         Reconciliation of Revenue from Segments to          HTML     59K 
                Consolidated (Details)                                           
73: R51         Reconciliation of Segment Operating Income to       HTML     81K 
                Income before Income Taxes (Details)                             
74: R52         Reconciliation of Segment Operating Income to       HTML     52K 
                Income Before Income Taxes Footnote (Details)                    
75: R53         Capital Expenditures, Depreciation and              HTML     66K 
                Amortization by Segment (Details)                                
76: R54         Identifiable Assets by Segment (Details)            HTML     73K 
77: R55         Equity Method Investment and Intangible Assets      HTML     57K 
                Included in Identifiable Assets by Segment                       
                Footnote (Details)                                               
78: R56         Revenues and Segment Operating Income by            HTML     88K 
                Geographical Markets (Details)                                   
79: R57         Long-lived Assets by Geographical Markets           HTML     54K 
                (Details)                                                        
80: R58         Acquisitions Changes in Carry Amount of Goodwill    HTML     57K 
                (Details)                                                        
81: R59         Description of Business and Segment Information -   HTML     68K 
                Additional Information (Detail)                                  
82: R60         Summary of Significant Accounting Policies -        HTML     58K 
                Reconciliation of Cash, Cash Equivalents and                     
                Restricted Cash Reported in the Consolidated                     
                Balance Sheet that sum to the Total Amount in the                
                Statement of Cash Flow (Details)                                 
83: R61         Summary of Significant Accounting Policies -        HTML     62K 
                Depreciation Computed on Straight-Line Method Over               
                Estimated Useful Lives (Detail)                                  
84: R62         Summary of Significant Accounting Policies -        HTML     56K 
                Expected Aggregate Annual Amortization Expense for               
                Existing Amortizable Intangible Assets (Detail)                  
85: R63         Summary of Significant Accounting Policies -        HTML     57K 
                Reconciliation of Weighted Average Number of                     
                Common and Common Equivalent Shares Outstanding                  
                and Number of Awards Excluded from Diluted                       
                Earnings Per Share (Detail)                                      
86: R64         Summary of Significant Accounting Policies -        HTML    105K 
                Additional Information (Detail)                                  
87: R65         Revenues Disaggregation of Revenue by Major Source  HTML    105K 
                (Details)                                                        
88: R66         Revenues Disaggregation of Revenue by Geographical  HTML     82K 
                Markets (Details)                                                
89: R67         Revenues Contract with Customer, Asset and          HTML     62K 
                Liability (Details)                                              
90: R68         Revenues - Additional Information (Details)         HTML     67K 
91: R69         Other Income (Expense), Net (Detail)                HTML     65K 
92: R70         Other Income, Net - Additional Information          HTML     48K 
                (Details)                                                        
93: R71         Investments (Detail)                                HTML     51K 
94: R72         Investments - Additional Information (Detail)       HTML     60K 
95: R73         International Theme Parks Impact of Consolidating   HTML    114K 
                Balance Sheets of International Theme Parks                      
                (Detail)                                                         
96: R74         International Theme Parks Impact of Consolidating   HTML     62K 
                Income Statements of International Theme Parks                   
                (Detail)                                                         
97: R75         International Theme Parks - Additional Information  HTML    141K 
                (Detail)                                                         
98: R76         Balances of Produced and Licensed Content Costs     HTML     87K 
                (Detail)                                                         
99: R77         Amortization of Produced and Licensed Content       HTML     53K 
                Costs (Details)                                                  
100: R78         Expected Amortization of Produced and Licensed      HTML     84K  
                Content (Details)                                                
101: R79         Produced and Acquired/Licensed Content Costs and    HTML     49K  
                Advances - Additional Information (Detail)                       
102: R80         Borrowings including the impact of Interest Rate    HTML    104K  
                and Cross-Currency Swaps (Detail)                                
103: R81         Borrowings Bank facilities to support commercial    HTML     61K  
                paper borrowings (Details)                                       
104: R82         Borrowings Commercial Paper Activity (Details)      HTML     62K  
105: R83         Borrowings Total Borrowings Excluding Market Value  HTML    104K  
                Adjustments, Scheduled Maturities (Detail)                       
106: R84         Borrowings - Additional Information (Detail)        HTML    170K  
107: R85         (Loss) Income Before Income Taxes (Detail)          HTML     62K  
108: R86         Income Tax Expense / (Benefit) (Detail)             HTML     79K  
109: R87         Income Taxes - Deferred Tax Assets and Liabilities  HTML     80K  
                (Detail)                                                         
110: R88         Income Taxes - Deferred tax Assets and Liabilities  HTML     72K  
                (Parenthetical) (Details)                                        
111: R89         Income Taxes - Summary of Valuation Allowance       HTML     51K  
                (Details)                                                        
112: R90         Income Taxes - Reconciliation of Effective Income   HTML     74K  
                Tax Rate to Federal Rate (Detail)                                
113: R91         Income Taxes - Reconciliation of Beginning and      HTML     57K  
                Ending Amount of Gross Unrecognized Tax Benefits,                
                Excluding Related Accrual for Interest (Detail)                  
114: R92         Income Taxes - Additional Information (Detail)      HTML     58K  
115: R93         Pension and Other Benefit Programs - Benefit        HTML    112K  
                Obligations, Assets, Funded Status and Balance                   
                Sheet Impacts Associated with Pension and                        
                Postretirement Medical Benefit Plans based upon                  
                Actuarial Valuations (Detail)                                    
116: R94         Pension and Other Benefit Programs - Net Periodic   HTML     88K  
                Benefit Cost (Detail)                                            
117: R95         Pension and Other Benefit Programs - Key            HTML     67K  
                Assumptions (Detail)                                             
118: R96         Pension and Other Benefit Programs - Accumulated    HTML     65K  
                Other Comprehensive Loss, Before Tax, not yet                    
                Recognized in Net Periodic Benefit Cost (Detail)                 
119: R97         Pension and Other Benefit Programs - Plan Assets    HTML     61K  
                Investment Policy Ranges for Major Asset Classes                 
                (Detail)                                                         
120: R98         Pension and Other Benefit Programs - Defined        HTML    116K  
                Benefit Plan Assets Measured at Fair Value                       
                (Detail)                                                         
121: R99         Pension and Other Benefit Programs - Defined        HTML     56K  
                Benefit Plan Assets Measured at Fair Value                       
                (Parenthetical) (Detail)                                         
122: R100        Pension and Other Benefit Programs - Estimated      HTML     64K  
                Future Benefit Payments (Detail)                                 
123: R101        Pension and Other Benefit Programs - Estimated      HTML     48K  
                Future Benefit Payments (Parenthetical) (Detail)                 
124: R102        Pension and Other Benefit Programs - Long-Term      HTML     58K  
                Rate of Return on Plan Assets (Detail)                           
125: R103        Pension and Other Benefit Programs - One            HTML     57K  
                Percentage Point (ppt) Change on Projected Benefit               
                Obligations (Detail)                                             
126: R104        Pension and Other Benefit Programs - Contribution   HTML     53K  
                into Multiemployer Pension Plans and Health and                  
                Welfare Plans (Detail)                                           
127: R105        Pension and Other Benefit Programs - Additional     HTML     97K  
                Information (Detail)                                             
128: R106        Equity Dividends Paid (Details)                     HTML     48K  
129: R107        Equity Changes in Accumulated Other Comprehensive   HTML     66K  
                Loss, Before Tax (Detail)                                        
130: R108        Equity Changes in Accumulated Other Comprehensive   HTML     63K  
                Loss, Tax (Details)                                              
131: R109        Equity Changes in Accumulated Other Comprehensive   HTML     69K  
                Loss, Net of Tax (Details)                                       
132: R110        Equity Details about AOCI Components Reclassified   HTML     81K  
                to Net Income (Details)                                          
133: R111        Equity-Based Compensation - Weighted Average        HTML     56K  
                Assumptions used in Option-Valuation Model                       
                (Detail)                                                         
134: R112        Equity-Based Compensation - Impact of Stock         HTML     58K  
                Options/Rights and Restricted Stock Units on                     
                Income and Cash Flows (Detail)                                   
135: R113        Equity-Based Compensation - Information about       HTML     72K  
                Stock Option Transactions (Detail)                               
136: R114        Equity-Based Compensation - Information about       HTML     92K  
                Stock Options Vested and Expected to Vest (Detail)               
137: R115        Equity-Based Compensation - Information about       HTML     70K  
                Restricted Stock Unit Transactions (Detail)                      
138: R116        Equity-Based Compensation - Additional Information  HTML    105K  
                (Detail)                                                         
139: R117        Detail of Certain Balance Sheet Accounts - Current  HTML     55K  
                Receivables (Detail)                                             
140: R118        Detail of Certain Balance Sheet Accounts - Parks,   HTML     63K  
                Resorts and Other Property, at Cost (Detail)                     
141: R119        Detail of Certain Balance Sheet Accounts -          HTML     60K  
                Intangible Assets (Detail)                                       
142: R120        Detail of Certain Balance Sheet Accounts -          HTML     54K  
                Accounts Payable and Other Accrued Liabilities                   
                (Detail)                                                         
143: R121        Detail of Certain Balance Sheet Accounts - Other    HTML     54K  
                Long-Term Liabilities (Detail)                                   
144: R122        Commitments and Contingencies - Contractual         HTML     71K  
                Commitments for Broadcast Programming Rights,                    
                Creative Talent and Other Commitments (Detail)                   
145: R123        Commitments and Contingencies - Additional          HTML     56K  
                Information (Detail)                                             
146: R124        Summary of Right-of-Use Assets and Lease            HTML     78K  
                Liabilities on the Balance Sheet (Details)                       
147: R125        Components of Lease Costs (Details)                 HTML     56K  
148: R126        Summary of Cash Flows Arising From Lease            HTML     52K  
                Transactions (Details)                                           
149: R127        Lease Liability Maturities (Details)                HTML     84K  
150: R128        Leases - Additional Information (Details)           HTML     56K  
151: R129        Fair Value Measurement - Assets and Liabilities     HTML     88K  
                Measured at Fair Value (Detail)                                  
152: R130        Derivative Instruments - Gross Fair Value of        HTML    103K  
                Derivative Positions (Detail)                                    
153: R131        Derivative Instruments - Carrying Amount and        HTML     54K  
                Cumulative Basis Adjustment for Fair Value Hedges                
                (Details)                                                        
154: R132        Derivative Instruments - Adjustments Related to     HTML     54K  
                Fair Value Hedges included in Net Interest Expense               
                in Consolidated Statements of Income (Detail)                    
155: R133        Derivative Instruments - Effect of foreign          HTML     50K  
                Currency Cash Flow Hedges on AOCI (Details)                      
156: R134        Adjustments Related to Cross Currency Swap Hedges   HTML     52K  
                Included in Net Interest Expense in Condensed                    
                Consolidated Statements of Income (Details)                      
157: R135        Derivative Instruments - Net Gains or Losses        HTML     61K  
                Recognized in Costs and Expenses on Economic                     
                Exposures Associated with Foreign Currency                       
                Exchange Rates (Detail)                                          
158: R136        Derivative Instruments - Additional Information     HTML     69K  
                (Detail)                                                         
159: R137        Restructuring and Impairment Charges Restructuring  HTML     54K  
                Reserves (Details)                                               
160: R138        Restructuring and Impairment Charges - Additional   HTML     78K  
                Information (Detail)                                             
163: XML         IDEA XML File -- Filing Summary                      XML    307K  
161: XML         XBRL Instance -- dis-20221001_htm                    XML   6.96M  
162: EXCEL       IDEA Workbook of Financial Reports                  XLSX    329K  
19: EX-101.CAL  XBRL Calculations -- dis-20221001_cal                XML    339K 
20: EX-101.DEF  XBRL Definitions -- dis-20221001_def                 XML   1.77M 
21: EX-101.LAB  XBRL Labels -- dis-20221001_lab                      XML   3.44M 
22: EX-101.PRE  XBRL Presentations -- dis-20221001_pre               XML   2.26M 
18: EX-101.SCH  XBRL Schema -- dis-20221001                          XSD    396K 
164: JSON        XBRL Instance as JSON Data -- MetaLinks              787±  1.27M  
165: ZIP         XBRL Zipped Folder -- 0001744489-22-000213-xbrl      Zip   1.21M  


‘EX-10.58’   —   Material Contract


This Exhibit is an HTML Document rendered as filed.  [ Alternative Formats ]



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Exhibit 10.58
THE WALT DISNEY COMPANY
Schedule of Provisions for Certain
Stock Option Awards
Pursuant to the 2011 Stock Incentive Plan
(For Employees in the U.S.)


This schedule sets forth the following additional terms of the stock option award (the “Stock Option Agreement”) made to you:
Section 1. Stock Option Award. The stock option award gives you the opportunity to purchase the number of shares of Common Stock (“Shares”) of The Walt Disney Company (“Disney”) specified for your award on the Disney Equity Awards Online website accessible via the Equity Awards module on My Disney TEAM (located on the Personal tab for domestic employees or the International tab for international employees) or directly at www.benefits.ml.com. The exercise price for such award is the average of the highest and the lowest market prices for the Common Stock on the Date of Grant as determined pursuant to the Plan.
Section 2. Vesting and Exercisability. Stock option awards generally vest as to 25% of the total number of shares covered by the award on each of the four following anniversary dates of the Date of Grant, subject to the optionee’s continued employment and to the other terms and conditions of the Plan and the award.* Your stock option award may not be exercised with respect to any portion thereof which is not vested at the time of exercise.
Section 3. Expiration of the Option. Provided your employment does not terminate, your stock option award will expire ten (10) years from the Date of Grant. You should refer to the prospectus covering this award and familiarize yourself with the various Plan provisions that affect your right to exercise after termination of employment. Except under certain circumstances and unless otherwise stated in the Appendix (as defined in Section 12 below), you will generally have the right of continued vesting and exercisability for three months following the date of termination of your active employment (such period as it may hereinafter be extended in certain circumstances as provided below being the “Extended Vesting and Exercisability Period”), and any shares that vest during the Extended Vesting and Exercisability Period will be exercisable during such period (or, under certain circumstances, for such longer period as may be provided by the Plan).
Section 4. Extended Vesting and Exercisability.
(a) In the event that your employment with Disney or an Affiliate thereof terminates for any reason other than death or “cause” (as further provided in the Plan) at a time when (i) you have attained the age of sixty and have completed at least ten consecutive Service Years (as hereinafter defined) and (ii) at least one year has passed since the Date of Grant of this stock option, then unless otherwise stated in the Appendix (as defined in Section 12) and notwithstanding any other term or provision hereof, the Extended Vesting and Exercisability Period shall continue until the earlier of five years from the date of termination of your active employment or the expiration date of this stock option award; provided, however, that in the event of your death during such period, all remaining unvested portions of this stock option award shall vest immediately upon such event and thereafter all remaining unexercised portions of this stock
* The vesting dates for your award are set forth on the website(s) referred to herein at the Grant Detail page, which may be accessed by clicking on the hyperlink for the award on the left-hand side of the Grant Summary page.
1


option award shall be exercisable until the earlier of the expiration of 18 months from date of death or the expiration date of this stock option award. For purposes of the foregoing, “Service Year” shall mean any full 12-month period during which you were continuously employed by Disney or an Affiliate thereof. In determining the total number of consecutive Service Years that you have been so employed, Disney shall apply such rules regarding the bridging of service as the Committee may adopt from time to time.
(b) Notwithstanding any other term or provision hereof, if at the time of termination of employment (other than upon the scheduled expiration date of an employment agreement) you are employed pursuant to an employment agreement with Disney or an Affiliate which provides under certain circumstances for the continued vesting and/or exercisability of any stock option award in the event of the termination of such employment agreement prior to its scheduled expiration date (a “Contractual Extension Provision”), then, except as otherwise provided in such employment agreement, (i) this Section 4 shall be interpreted and applied in all respects as if you had remained continuously employed by Disney or an Affiliate thereof from the Date of Grant of this stock option award through the scheduled expiration date of such employment agreement and (ii) the date of termination of your employment for all purposes under this Section 4 shall be deemed to be the scheduled expiration date of such employment agreement.
Section 5. Exercise. To exercise this award, you must pay the exercise price and all applicable taxes on the gross gain. You are urged to seek advice from your tax accountant or attorney when making decisions regarding the exercise of this award. This award may not be assigned.
Section 6. Responsibility for Taxes.
(a) Stock options are granted and exercised in the United States. At the time of exercise, if you are a U.S. taxpayer, Disney will withhold all U.S. federal and state taxes as required by law at the then-current rate for supplemental wage income as applicable.
(b) If you are at the time of exercising this award resident in a foreign country, you shall be responsible for the payment of all income tax, social insurance, payroll tax, fringe benefit, payment on account or other tax related items related to your participation in the Plan and legally applicable to you (“Tax-Related Items”), and Disney will either withhold the Tax-Related Items as required by local law, or, alternatively, you will be required to pay the Tax-Related Items directly or, where permitted by local law with respect to fringe benefit or employer social taxes, to reimburse Disney or the Affiliate by whom you are employed (the “Employer”) for the Tax-Related Items paid by Disney or such Affiliate. Regardless of any action Disney or the Employer takes with respect to any Tax-Related Items, you acknowledge that the ultimate liability for all Tax-Related Items is and remains your responsibility and may exceed the amount actually withheld by Disney or the Employer. Further, if you become subject to tax in more than one jurisdiction between the Date of Grant and the date of any relevant taxable or tax withholding event, as applicable, you acknowledge that Disney and/or the Employer (or former employer, as applicable) may be required to withhold or account for Tax-Related Items in more than one jurisdiction.
Section 7. No Advice Regarding Grant. Disney is not providing any tax, legal or financial advice, nor is Disney making any recommendations regarding your participation in the Plan, or your acquisition or sale of the underlying shares. You are advised to consult with your own personal tax, legal and financial advisors regarding participation in the Plan before taking any action related to the Plan.
2


Section 8. Governing Law and Venue. This Stock Option Agreement shall be construed and enforced in accordance with the internal substantive laws of the State of Delaware, without giving effect to the choice of law principles thereof. For purposes of litigating any dispute that arises directly or indirectly from the relationship of the parties evidenced by this stock option, the parties hereby submit to and consent to the exclusive jurisdiction of the State of California and agree that such litigation shall be conducted only in the courts of Los Angeles, California, or the federal courts for the United States for the Central District of California, and no other courts, where this grant is made and/or to be performed.
Section 9. Electronic Delivery. Disney may, in its sole discretion, decide to deliver any documents related to current or future participation in the Plan by electronic means. You hereby consent to receive such documents by electronic delivery and agree to participate in the Plan through an on-line or electronic system established and maintained by Disney or a third party designated by Disney.
Section 10. Severability. The provisions of this Stock Option Agreement are severable and if any one or more provisions are determined to be illegal or otherwise unenforceable, in whole or in part, the remaining provisions shall nevertheless be binding and enforceable.
Section 11. Relocation. If you relocate to another country during the life of the option, certain additional provisions (including, without limitation, data privacy provisions) for such country shall apply to you, to the extent Disney determines that the application of such provisions is necessary or advisable in order to comply with local law or facilitate the administration of the Plan, and you may be required to sign additional agreements and undertakings as may be necessary or advisable to accomplish the foregoing. If you relocate to another country and then return to the United States prior to exercise of the option, only the provisions of this Stock Option Agreement shall apply to you. An appendix of provisions currently applicable to optionees who are relocated to various foreign jurisdictions is available for your review at www.benefits.ml.com.
Section 12. Data Privacy. You expressly authorize and consent to the collection, possession, use, retention and transfer of your personal data, whether in electronic or other form, by and among Disney, its Affiliates, third-party administrator(s) and other possible recipients, in each case for the exclusive purpose of implementing, administering, facilitating and/or managing your Awards under, and participation in, the Plan. Such personal data may include, without limitation, your name, home address and telephone number, date of birth, Social Security Number, social insurance number or other identification number, salary, nationality, job title and other job-related information, tax information, the number of Disney shares held or sold by you, and the details of all Awards (including any information contained in this Award and all Award-related materials) granted to you, whether exercised, unexercised, vested, unvested, cancelled or outstanding (“Data”). You acknowledge, understand and agree that Data will be transferred to Merrill Lynch, which is assisting Disney with the implementation, administration and management of the Plan, and/or to such other third-party plan administrator(s) and/or recipients as may be selected by Disney in the future. You understand that one or more of the administrators or recipients of Data may be located in countries other than the country of your current residence, and that such other countries may have data privacy laws and protections different from, and less protective than, the laws and protections of the country of your current residence, the Member States of the European Union or any other country to which you may be at any time relocated.

***********************
3

3 Subsequent Filings that Reference this Filing

  As Of               Filer                 Filing    For·On·As Docs:Size             Issuer                      Filing Agent

11/21/23  Walt Disney Co.                   10-K        9/30/23  153:22M
 4/20/23  SEC                               UPLOAD5/18/23    2:39K  Walt Disney Co.
 4/04/23  SEC                               UPLOAD5/18/23    2:44K  Walt Disney Co.


40 Previous Filings that this Filing References

  As Of               Filer                 Filing    For·On·As Docs:Size             Issuer                      Filing Agent

 9/30/22  Walt Disney Co.                   8-K:1,5,8,9 9/29/22   13:313K
 8/10/22  Walt Disney Co.                   10-Q        7/02/22  101:14M
 3/09/22  Walt Disney Co.                   8-K:8,9     3/04/22   13:2.4M                                   Donnelley … Solutions/FA
 2/09/22  Walt Disney Co.                   10-Q        1/01/22  104:15M
 1/19/22  Walt Disney Co.                   DEF 14A     3/09/22    1:12M                                    Donnelley … Solutions/FA
12/21/21  Walt Disney Co.                   8-K:5,9    12/21/21   13:244K
11/24/21  Walt Disney Co.                   10-K       10/02/21  162:24M
 8/12/21  Walt Disney Co.                   10-Q        7/03/21   98:14M
 2/11/21  Walt Disney Co.                   10-Q        1/02/21   99:11M
12/07/20  Walt Disney Co.                   8-K:5,9    12/03/20   13:223K
 3/11/20  Walt Disney Co.                   8-K:8,9     3/06/20   14:2.6M
 2/25/20  Walt Disney Co.                   8-K:5,9     2/24/20   15:562K
 2/04/20  Walt Disney Co.                   10-Q       12/28/19  116:19M
 1/17/20  Walt Disney Co.                   DEF 14A     3/11/20    1:5.5M                                   Toppan Merrill-FA
11/20/19  Walt Disney Co.                   10-K        9/28/19  162:33M
 8/06/19  Walt Disney Co.                   10-Q        6/29/19  117:25M
 3/20/19  TWDC Enterprises 18 Corp.         8-K:1,2,3,5 3/15/19    6:1.4M                                   Cravath Swaine & … 01/FA
 3/20/19  Walt Disney Co.                   8-K:1,2,9   3/20/19    6:963K                                   Cravath Swaine & … 01/FA
 3/20/19  Walt Disney Co.                   8-K12B:1,2, 3/15/19    8:1.4M                                   Cravath Swaine & … 01/FA
 3/04/19  TWDC Enterprises 18 Corp.         8-K:5,8,9   3/04/19    2:42K                                    Toppan Merrill/FA
 2/05/19  TWDC Enterprises 18 Corp.         10-Q       12/29/18  102:12M
12/03/18  TWDC Enterprises 18 Corp.         8-K:5,9    11/30/18    3:90K
11/30/18  TWDC Enterprises 18 Corp.         8-K:5,9    11/28/18    2:42K
 2/06/18  TWDC Enterprises 18 Corp.         10-Q       12/30/17   85:8.2M                                   Workiva Inc Wde… FA01/FA
12/14/17  TWDC Enterprises 18 Corp.         8-K:1,5,8,912/13/17    6:1.2M                                   Cravath Swaine & … 01/FA
 8/17/17  TWDC Enterprises 18 Corp.         8-K:5,9     8/17/17    5:275K
 3/23/17  TWDC Enterprises 18 Corp.         8-K:5,9     3/23/17    2:59K
 6/30/15  TWDC Enterprises 18 Corp.         8-K:5,9     6/29/15    3:432K
 5/05/15  TWDC Enterprises 18 Corp.         10-Q        3/28/15   84:13M
12/23/14  TWDC Enterprises 18 Corp.         8-K:5      12/19/14    2:89K
10/03/14  TWDC Enterprises 18 Corp.         8-K:5,9    10/02/14    2:78K
10/18/13  Twenty-First Century Fox, Inc.    8-K:5,9    10/18/13    2:136K                                   Donnelley … Solutions/FA
 7/01/13  TWDC Enterprises 18 Corp.         8-K:5,9     7/01/13    2:40K
 1/18/13  TWDC Enterprises 18 Corp.         DEF 14A     3/06/13    1:3.9M                                   DG3/FA
11/23/11  TWDC Enterprises 18 Corp.         10-K       10/01/11  143:19M                                    Donnelley … Solutions/FA
 8/09/11  TWDC Enterprises 18 Corp.         10-Q        7/02/11   75:7M                                     Donnelley … Solutions/FA
12/01/06  TWDC Enterprises 18 Corp.         8-K:1,5,9  11/28/06    6:384K                                   Donnelley … Solutions/FA
 1/28/03  TWDC Enterprises 18 Corp.         DEF 14A     3/19/03    1:1.1M                                   Donnelley … Solutions/FA
 9/24/01  TWDC Enterprises 18 Corp.         8-K:5,7     9/24/01    6:686K                                   Toppan Merrill-FA2/FA
 2/23/95  Disney Enterprises Inc.           S-8         3/14/95    1:30K
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Filing Submission 0001744489-22-000213   –   Alternative Formats (Word / Rich Text, HTML, Plain Text, et al.)

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