Company: CCO
Filing Date: 2025-04-10
Form Type: DEF 14A
Source: 0001193125-25-077985
Chunk: 17

Company: Clear Channel Outdoor Holdings, Inc.
Filing Date: 2025-04-10
Form: DEF 14A
Chunk 17
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Rock Institutional Trust Company, National Association, BlackRock Asset Management Ireland Limited, BlackRock Financial Management, Inc., BlackRock Japan Co., Ltd., BlackRock Asset Management Schweiz AG, BlackRock Investment Management, LLC, BlackRock Investment Management (UK) Limited, BlackRock Asset Management Canada Limited, BlackRock (Luxembourg) S.A., BlackRock Investment Management (Australia) Limited, BlackRock Fund Advisors and BlackRock Fund Managers Ltd. The business address of each reporting person is BlackRock, Inc., 50 Hudson Yards, New York, New York 10001. |

| (h) | As reported on a Form 4 filed on February 18, 2025, the following persons have shared voting and investment power with respect to the following number of shares of common stock of Clear Channel Outdoor: Legion Partners, L.P. I, with respect to 21,869,019 shares, Legion Partners, L.P. II, with respect to 1,943,844 shares, Legion Partners Special Opportunities, L.P. XVI, with respect to 2,122,933 shares, Legion Partners, LLC, with respect to 25,935,796 shares, Legion Partners Asset Management, LLC, with respect to 26,079,654 shares (which excludes unvested RSUs), and Legion Partners Holdings, LLC, Christopher S. Kiper and Ted White, with respect to 26,080,554 shares (which excludes unvested RSUs). The business address of the reporting persons is 12121 Wilshire Blvd, Suite 1240, Los Angeles, California 90025. |

| (i) | Represents 2,705,185 shares of common stock and vested stock options representing 63,418 shares of common stock |

| (j) | Represents 436,897 shares of common stock and vested stock options representing 20,307 shares of common stock |

| (k) | Represents 1,330,741 shares of common stock and 150,000 unvested RSUs that will vest within 60 days of April 2, 2025. |

| (l) | Represents 871,743 shares of common stock and vested stock options representing 11,043 shares of common stock |

| (m) | Represents 814,474 shares of common stock and vested stock options representing 6,586 shares of common stock |

| (n) | Represents 360,185 shares of common stock and vested stock options representing 6,854 shares of