附件公司
US ˙ NasdaqGS ˙ US03589W1027

介绍

本页面提供了有关 Blackstone Group Management L.L.C. 已知的内部交易历史的全面分析。内部人士包括公司的高管、董事或重要投资者。一般而言,基于内幕、非公开信息进行交易是非法的。这并不意味着他们在自己的公司进行任何交易都是非法的。但是,他们必须通过Form 4向美国证券交易委员会(SEC)报告所有交易。尽管存在这些限制,学术研究表明,整体而言,内部人士在自己公司中的投资表现往往优于市场。

平均交易盈利能力

“平均交易盈利能力”衡量了内部人士在过去三年中所有非计划性的公开市场买入交易的平均回报率。计算过程包括检查每笔交易,排除了作为10b5-1交易计划的一部分的交易。然后,对每笔交易在3、6和12个月的表现进行平均,以生成该笔交易最终的表现指标。然后,将所有交易的表现指标进行平均,计算出内部人士的总体平均表现指标。列表仅包含在过去两年中进行过至少三笔交易的内部人士。

如果内部人士的交易盈利能力显示为"N/A",则可能是因为该内部人士在过去三年内没有进行任何公开市场买入交易,或者他们进行的交易距离现在时间太近,无法计算出可靠的表现指标。

更新频率:每日

查看收益最高的的内幕交易者列表。

报告内部持仓的公司

美国证券交易委员会(SEC)文件显示Blackstone Group Management L.L.C.已报告在以下公司拥有持仓或进行了交易:

证券 职位 最新报告的持仓
10% Owner 2,970,014
US:STR / Sitio Royalties Corp. 0
US:BMBL / Bumble Inc. 10% Owner 5,404,511
10% Owner 209,042
US:TASK / TaskUs, Inc. 10% Owner 10,094,674
10% Owner 1,666,667
US:AMPS / Altus Power, Inc. 10% Owner 0
US:KNTK / Kinetik Holdings Inc. 10% Owner 1,658,066
US:GTES / Gates Industrial Corporation plc 10% Owner 451,496
US:CRBG / Corebridge Financial, Inc. 10% Owner 61,962,123
US:FOA / Finance of America Companies Inc. 10% Owner 24,162,521
10% Owner 0
10% Owner 43,602
US:PTEN / Patterson-UTI Energy, Inc. 10% Owner 34,900,000
US:APG / APi Group Corporation 0
0
US:VNOM / Viper Energy, Inc. 10% Owner 7,002,347
US:CQP / Cheniere Energy Partners, L.P. - Limited Partnership 10% Owner 123,848
US:VVNT / Vivint Smart Home Inc - Class A 10% Owner 0
US:BAER / Bridger Aerospace Group Holdings, Inc. 10% Owner 9,389,895
US:US82982V1017 / Sitio Royalties Corp 0
US:SARA / SARATOGA RES INC TEX 10% Owner 0
US:CHNG / Change Healthcare Inc 10% Owner 0
US:CHK / Chesapeake Energy Corporation 10% Owner 1,165,899
US:SMFR / Sema4 Holdings Corp - Class A 10% Owner 162,309
US:CPE / Callon Petroleum Company 10% Owner 5,935,002
US:IMGO / Imago BioSciences Inc 10% Owner 2,375,037
US:APR / Apria Inc 10% Owner 0
US:CPLG / CorePoint Lodging Inc 10% Owner 0
US:CTOS / Custom Truck One Source, Inc. 0
0
0
US:CYRX / Cryoport, Inc. 10% Owner 10,339
US:VEI / Vine Energy Inc - Class A 10% Owner 0
US:OPFI / OppFi Inc. 10% Owner 0
US:PRAX / Praxis Precision Medicines, Inc. 10% Owner 0
US:EARN / Ellington Credit Company 10% Owner 628,578
US:TALS / Talaris Therapeutics Inc 10% Owner 0
US:PACK / Ranpak Holdings Corp. 10% Owner 2,380,800
US:TW / Tradeweb Markets Inc. 10% Owner 0
US:US09261HAC16 / Blackstone Private Credit Fund 10% Owner 1,000,000
US:RUN / Sunrun Inc. 10% Owner 18,302,287
US:US92854VAB18 / Vivint Colar Financing V LLC 10% Owner 0
US:US55916AAB08 / Magic Mergeco Inc 10% Owner 265,496
US:GRAY / Graybug Vision Inc 10% Owner 0
US:EPIX / ESSA Pharma Inc. 10% Owner 3,573,053
US:ANNX / Annexon, Inc. 10% Owner 0
10% Owner 0
US:TGE / The Generation Essentials Group 10% Owner 0
US:ATCX / Atlas Technical Consultants Inc - Class A 10% Owner 4,400,000
US:KODK / Eastman Kodak Company 10% Owner 0
US:INVH / Invitation Homes Inc. 10% Owner 29,651
US:GRTX / Galera Therapeutics, Inc. 10% Owner 0
US:CROX / Crocs, Inc. 10% Owner 0
US:NCR / NCR Corp. 10% Owner 0
US:NSTG / NanoString Technologies, Inc. 10% Owner 2,036,025
US:KOS / Kosmos Energy Ltd. 10% Owner 74,078
US:FTSV / Forty Seven, Inc. 10% Owner 7,633,902
US:ETTX / Entasis Therapeutics Holdings Inc 10% Owner 3,246,810
US:AVRO / AVROBIO, Inc. 10% Owner 5,924,650
US:BXSL / Blackstone Secured Lending Fund 10% Owner 192,060
US:DFBG / Differential Brands Group Inc. 10% Owner 35,578,250
US:LQ / La Quinta Holdings Inc. 10% Owner 0
10% Owner 642,881
10% Owner 8,000
US:UAN / CVR Partners, LP - Limited Partnership 10% Owner 1,459,328
US:US428102AF45 / Hess Midstream Operations LP 10% Owner 0
US:WLKP / Westlake Chemical Partners LP - Limited Partnership 10% Owner 0
US:HLT / Hilton Worldwide Holdings Inc. 10% Owner 8,904
US:CJES / C&J Energy Services Ltd. 10% Owner 5,020,635
US:HGV / Hilton Grand Vacations Inc. 10% Owner 2,664
US:SN / SharkNinja, Inc. 10% Owner 531,847
US:PK / Park Hotels & Resorts Inc. 10% Owner 8,784
US:PFGC / Performance Food Group Company 10% Owner 0
US:SEAS / United Parks & Resorts Inc. 10% Owner 0
US:US30227FAL40 / Extended Stay America Trust 10% Owner 29,321
US:US26908BAK98 / ESH Hospitality, Inc., Term Loan 10% Owner 29,321
US:HPP / Hudson Pacific Properties, Inc. 10% Owner 0
US:SUM / Summit Materials, Inc. 10% Owner 0
US:SD / SandRidge Energy, Inc. 10% Owner 995,116
US:CTLT / Catalent, Inc. 10% Owner 0
US:04941A101 / Atlas Resource Partners L.P. 10% Owner 1,003,457
US:BRX / Brixmor Property Group Inc. 10% Owner 0
US:RTK / Rentech, Inc. 10% Owner 0
US:ZBH / Zimmer Biomet Holdings, Inc. 10% Owner 0
US:FSL / Freescale Semiconductor Ltd Director, 10% Owner 0
US:TVPT / Travelport Worldwide Ltd. 10% Owner 7,604,740
US:PJT / PJT Partners Inc. 10% Owner 0
10% Owner 0
US:PF / Pinnacle Foods, Inc. 10% Owner 3,308
US:NLSN / Nielsen Holdings plc 10% Owner 402,447
US:PBF / PBF Energy Inc. 10% Owner 6,735
10% Owner 1,111,112
US:XTXI / 10% Owner 0
US:XTEX / 10% Owner 17,095,133
10% Owner 1,000,000
US:VHS / Vanguard Health Systems Inc 10% Owner 0
10% Owner 0
US:BXMT / Blackstone Mortgage Trust, Inc. 10% Owner 2,460,784
US:TRW / TRW Automotive Holdings 10% Owner 10,273,062
US:US87817AAB35 / Team Health Holdings Inc 10% Owner 0
US:BGB / Blackstone Strategic Credit 2027 Term Fund 5,236
US:BKU / BankUnited, Inc. 10% Owner 4,180
US:LNG / Cheniere Energy, Inc. 10% Owner 96,879
10% Owner 182,199
如何解读这些图表

以下图表显示了在Blackstone Group Management L.L.C.进行的每笔公开市场非计划交易后证券的股价表现。非计划交易是指没有作为10b5-1交易计划的一部分而进行的交易。股价表现以累积百分比变化的方式绘制。例如,如果一笔内部人士交易是在2019年1月1日进行的,该图表将显示该证券的每日百分比变化直至当前日期。如果在此期间股价从10美元涨至15美元,则股价的累积百分比变化将为50%。从10美元涨至20美元的价格变化将为100%,而从10美元跌至5美元的价格变化将为-50%。

最终,我们将评估内部人士的交易与股价的超额回报(正向或负向)之间的相关性,以判断内部人士是否在交易中利用内部信息获利。如果内部人士有这样的行为,我们预期看到(a)买入后的正回报,或者(b)卖出后的负回报。对于情况(a),买入图表将显示一系列向上倾斜的曲线,表示每次买入后都有正回报。对于情况(b),卖出图表将显示一系列向下倾斜的曲线,表示每次卖出后都有负回报。

然而,仅凭这一点还不足以得出结论。例如,如果公司的股价在多年内呈现非周期性上升,我们会预期所有买入后的图表都呈现向上倾斜。同样地,多年来呈现非周期性下降的股价会导致卖出后的图表也呈现向下倾斜。这两种情况的图表都不能表示内部人士在进行内幕交易。

最有力的指标是在公司股价呈极度循环波动的情况下,“买入”图表显示正向信号,而“卖出”图表显示负向趋势。这种情况强烈暗示内部人士可能根据内幕信息精确地计时进行交易,以获得财务优势。

ANNX / Annexon, Inc.内部人士买入 - 短期收益分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士买入的盈利情况。这种分析有助于了解内部人士是否持续产生异常的回报,以及是否值得跟踪。该分析基于每笔交易后一年的情况,结果仅为理论值

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最高利润的
天数
达到最高利润时的
价格
最高
利润($)
最高回报率(%)
2020-07-28 ANNX Clarus Lifesciences III, L.P. 200,000 17.0000 200,000 17.0000 3,400,000 231 35.01 3,602,000 105.94

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

ANNX / Annexon, Inc. Insider Trades
ANNX / Annexon, Inc.内部人士卖出 - 短期亏损分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士卖出所达成的短期亏损规避。如果存在持续的亏损规避模式,可能表明未来的内部人士卖出交易预示着价格的下跌。该分析基于每笔交易后一年的情况,

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最低利润的
天数
达到最低利润时的
价格
避免的
最高损失金额($)
避免的
最高损失率($)
当前未知该内部人士进行过任何未预先计划的公开市场交易。

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

ANNX / Annexon, Inc. Insider Trades
APG / APi Group Corporation内部人士买入 - 短期收益分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士买入的盈利情况。这种分析有助于了解内部人士是否持续产生异常的回报,以及是否值得跟踪。该分析基于每笔交易后一年的情况,结果仅为理论值

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最高利润的
天数
达到最高利润时的
价格
最高
利润($)
最高回报率(%)
当前未知该内部人士进行过任何未预先计划的公开市场交易。

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

APG / APi Group Corporation Insider Trades
APG / APi Group Corporation内部人士卖出 - 短期亏损分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士卖出所达成的短期亏损规避。如果存在持续的亏损规避模式,可能表明未来的内部人士卖出交易预示着价格的下跌。该分析基于每笔交易后一年的情况,

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最低利润的
天数
达到最低利润时的
价格
避免的
最高损失金额($)
避免的
最高损失率($)
2023-08-14 APG FD Juno Holdings L.P. 2,566,605 27.8000 3,849,908 18.5333 71,351,619 72 25.1300 25,396,544 35.59
2023-08-14 APG FD Juno Holdings L.P. 32,004 27.8000 48,006 18.5333 889,711

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

APG / APi Group Corporation Insider Trades
BAERW / Bridger Aerospace Group Holdings, Inc. - Equity Warrant内部人士买入 - 短期收益分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士买入的盈利情况。这种分析有助于了解内部人士是否持续产生异常的回报,以及是否值得跟踪。该分析基于每笔交易后一年的情况,结果仅为理论值

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最高利润的
天数
达到最高利润时的
价格
最高
利润($)
最高回报率(%)
当前未知该内部人士进行过任何未预先计划的公开市场交易。

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

BAERW / Bridger Aerospace Group Holdings, Inc. - Equity Warrant Insider Trades
BAERW / Bridger Aerospace Group Holdings, Inc. - Equity Warrant内部人士卖出 - 短期亏损分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士卖出所达成的短期亏损规避。如果存在持续的亏损规避模式,可能表明未来的内部人士卖出交易预示着价格的下跌。该分析基于每笔交易后一年的情况,

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最低利润的
天数
达到最低利润时的
价格
避免的
最高损失金额($)
避免的
最高损失率($)
当前未知该内部人士进行过任何未预先计划的公开市场交易。

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

BAERW / Bridger Aerospace Group Holdings, Inc. - Equity Warrant Insider Trades
BGB / Blackstone Strategic Credit 2027 Term Fund内部人士买入 - 短期收益分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士买入的盈利情况。这种分析有助于了解内部人士是否持续产生异常的回报,以及是否值得跟踪。该分析基于每笔交易后一年的情况,结果仅为理论值

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最高利润的
天数
达到最高利润时的
价格
最高
利润($)
最高回报率(%)
当前未知该内部人士进行过任何未预先计划的公开市场交易。

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

BGB / Blackstone Strategic Credit 2027 Term Fund Insider Trades
BGB / Blackstone Strategic Credit 2027 Term Fund内部人士卖出 - 短期亏损分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士卖出所达成的短期亏损规避。如果存在持续的亏损规避模式,可能表明未来的内部人士卖出交易预示着价格的下跌。该分析基于每笔交易后一年的情况,

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最低利润的
天数
达到最低利润时的
价格
避免的
最高损失金额($)
避免的
最高损失率($)
当前未知该内部人士进行过任何未预先计划的公开市场交易。

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

BGB / Blackstone Strategic Credit 2027 Term Fund Insider Trades
BKU / BankUnited, Inc.内部人士买入 - 短期收益分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士买入的盈利情况。这种分析有助于了解内部人士是否持续产生异常的回报,以及是否值得跟踪。该分析基于每笔交易后一年的情况,结果仅为理论值

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最高利润的
天数
达到最高利润时的
价格
最高
利润($)
最高回报率(%)
当前未知该内部人士进行过任何未预先计划的公开市场交易。

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

BKU / BankUnited, Inc. Insider Trades
BKU / BankUnited, Inc.内部人士卖出 - 短期亏损分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士卖出所达成的短期亏损规避。如果存在持续的亏损规避模式,可能表明未来的内部人士卖出交易预示着价格的下跌。该分析基于每笔交易后一年的情况,

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最低利润的
天数
达到最低利润时的
价格
避免的
最高损失金额($)
避免的
最高损失率($)
当前未知该内部人士进行过任何未预先计划的公开市场交易。

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

BKU / BankUnited, Inc. Insider Trades
BRX / Brixmor Property Group Inc.内部人士买入 - 短期收益分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士买入的盈利情况。这种分析有助于了解内部人士是否持续产生异常的回报,以及是否值得跟踪。该分析基于每笔交易后一年的情况,结果仅为理论值

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最高利润的
天数
达到最高利润时的
价格
最高
利润($)
最高回报率(%)
2016-08-04 BRX Blackstone Group L.P. 426,960 28.3000 426,960 28.3000 12,082,968 53 28.9600 281,794 2.33
2016-05-09 BRX Blackstone Group L.P. 62,221 26.5700 62,221 26.5700 1,653,212

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

BRX / Brixmor Property Group Inc. Insider Trades
BRX / Brixmor Property Group Inc.内部人士卖出 - 短期亏损分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士卖出所达成的短期亏损规避。如果存在持续的亏损规避模式,可能表明未来的内部人士卖出交易预示着价格的下跌。该分析基于每笔交易后一年的情况,

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最低利润的
天数
达到最低利润时的
价格
避免的
最高损失金额($)
避免的
最高损失率($)
2016-06-15 BRX Blackstone Group L.P. 31,800 25.9500 31,800 25.9500 825,210 335 17.7600 -260,442 -31.56
2016-06-14 BRX Blackstone Group L.P. 66,037 25.7300 66,037 25.7300 1,699,132
2016-05-25 BRX Blackstone Group L.P. 23,275 24.7400 23,275 24.7400 575,824
2016-05-24 BRX Blackstone Group L.P. 63,325 25.0700 63,325 25.0700 1,587,558
2016-05-04 BRX Blackstone Group L.P. 46,972 25.5600 46,972 25.5600 1,200,604
2016-05-03 BRX Blackstone Group L.P. 104,228 25.3100 104,228 25.3100 2,638,011
2016-05-02 BRX Blackstone Group L.P. 153,544 25.3800 153,544 25.3800 3,896,947
2014-11-14 BRX Blackstone Retail Transaction II Holdco L.P. 6,168,104 23.1563 6,168,104 23.1563 142,830,467
2014-11-14 BRX Blackstone Retail Transaction II Holdco L.P. 155,503 23.1563 155,503 23.1563 3,600,874
2014-11-14 BRX Blackstone Retail Transaction II Holdco L.P. 938,733 23.1563 938,733 23.1563 21,737,583
2014-11-14 BRX Blackstone Retail Transaction II Holdco L.P. 4,270 23.1563 4,270 23.1563 98,877
2014-11-14 BRX Blackstone Retail Transaction II Holdco L.P. 4,344,000 23.1563 4,344,000 23.1563 100,590,967
2014-11-14 BRX Blackstone Retail Transaction II Holdco L.P. 8,627,934 23.1563 8,627,934 23.1563 199,791,028
2014-11-14 BRX Blackstone Retail Transaction II Holdco L.P. 671,564 23.1563 671,564 23.1563 15,550,937
2014-11-14 BRX Blackstone Retail Transaction II Holdco L.P. 642,793 23.1563 642,793 23.1563 14,884,708
2014-11-14 BRX Blackstone Retail Transaction II Holdco L.P. 1,444,943 23.1563 1,444,943 23.1563 33,459,534
2014-11-14 BRX Blackstone Retail Transaction II Holdco L.P. 1,383,041 23.1563 1,383,041 23.1563 32,026,112
2014-11-14 BRX Blackstone Retail Transaction II Holdco L.P. 10,729 23.1563 10,729 23.1563 248,444
2014-11-14 BRX Blackstone Retail Transaction II Holdco L.P. 10,268 23.1563 10,268 23.1563 237,769
2014-11-14 BRX Blackstone Retail Transaction II Holdco L.P. 18,405 23.1563 18,405 23.1563 426,192
2014-11-14 BRX Blackstone Retail Transaction II Holdco L.P. 17,617 23.1563 17,617 23.1563 407,945
2014-11-14 BRX Blackstone Retail Transaction II Holdco L.P. 562,096 23.1563 562,096 23.1563 13,016,064
2014-07-01 BRX Blackstone Group L.P. 23,684,648 21.7688 23,684,648 21.7688 515,586,365
2014-07-01 BRX Blackstone Group L.P. 8,480,555 21.7688 8,480,555 21.7688 184,611,506
2014-07-01 BRX Blackstone Group L.P. 1,290,669 21.7688 1,290,669 21.7688 28,096,315
2014-07-01 BRX Blackstone Group L.P. 213,801 21.7688 213,801 21.7688 4,654,191
2014-07-01 BRX Blackstone Group L.P. 772,827 21.7688 772,827 21.7688 16,823,516

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

BRX / Brixmor Property Group Inc. Insider Trades
BXMT / Blackstone Mortgage Trust, Inc.内部人士买入 - 短期收益分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士买入的盈利情况。这种分析有助于了解内部人士是否持续产生异常的回报,以及是否值得跟踪。该分析基于每笔交易后一年的情况,结果仅为理论值

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最高利润的
天数
达到最高利润时的
价格
最高
利润($)
最高回报率(%)
2013-05-29 BXMT Blackstone Holdings III L.P. 1,960,784 25.5000 1,960,784 25.5000 49,999,992 365 29.7400 8,313,724 16.63

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

BXMT / Blackstone Mortgage Trust, Inc. Insider Trades
BXMT / Blackstone Mortgage Trust, Inc.内部人士卖出 - 短期亏损分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士卖出所达成的短期亏损规避。如果存在持续的亏损规避模式,可能表明未来的内部人士卖出交易预示着价格的下跌。该分析基于每笔交易后一年的情况,

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最低利润的
天数
达到最低利润时的
价格
避免的
最高损失金额($)
避免的
最高损失率($)
当前未知该内部人士进行过任何未预先计划的公开市场交易。

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

BXMT / Blackstone Mortgage Trust, Inc. Insider Trades
BXSL / Blackstone Secured Lending Fund内部人士买入 - 短期收益分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士买入的盈利情况。这种分析有助于了解内部人士是否持续产生异常的回报,以及是否值得跟踪。该分析基于每笔交易后一年的情况,结果仅为理论值

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最高利润的
天数
达到最高利润时的
价格
最高
利润($)
最高回报率(%)
2018-11-06 NONE Blackstone BGSL Holdings LLC 192,000 25.0000 192,000 25.0000 4,800,000 731

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

BXSL / Blackstone Secured Lending Fund Insider Trades
BXSL / Blackstone Secured Lending Fund内部人士卖出 - 短期亏损分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士卖出所达成的短期亏损规避。如果存在持续的亏损规避模式,可能表明未来的内部人士卖出交易预示着价格的下跌。该分析基于每笔交易后一年的情况,

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最低利润的
天数
达到最低利润时的
价格
避免的
最高损失金额($)
避免的
最高损失率($)
当前未知该内部人士进行过任何未预先计划的公开市场交易。

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

BXSL / Blackstone Secured Lending Fund Insider Trades
CALC / CalciMedica, Inc.内部人士买入 - 短期收益分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士买入的盈利情况。这种分析有助于了解内部人士是否持续产生异常的回报,以及是否值得跟踪。该分析基于每笔交易后一年的情况,结果仅为理论值

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最高利润的
天数
达到最高利润时的
价格
最高
利润($)
最高回报率(%)
2020-09-29 GRAY Clarus Lifesciences III, L.P. 250,000 16.0000 17,857 224.0000 4,000,000 115 490 4,749,930 118.75

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

CALC / CalciMedica, Inc. Insider Trades
CALC / CalciMedica, Inc.内部人士卖出 - 短期亏损分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士卖出所达成的短期亏损规避。如果存在持续的亏损规避模式,可能表明未来的内部人士卖出交易预示着价格的下跌。该分析基于每笔交易后一年的情况,

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最低利润的
天数
达到最低利润时的
价格
避免的
最高损失金额($)
避免的
最高损失率($)
当前未知该内部人士进行过任何未预先计划的公开市场交易。

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

CALC / CalciMedica, Inc. Insider Trades
CQP / Cheniere Energy Partners, L.P. - Limited Partnership内部人士买入 - 短期收益分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士买入的盈利情况。这种分析有助于了解内部人士是否持续产生异常的回报,以及是否值得跟踪。该分析基于每笔交易后一年的情况,结果仅为理论值

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最高利润的
天数
达到最高利润时的
价格
最高
利润($)
最高回报率(%)
2023-04-03 CQP Blackstone Holdings III L.P. 2,768 47.4574 2,768 47.4574 131,362 241 61.7400 39,534 30.10
2023-04-03 CQP Blackstone Holdings III L.P. 6,004 47.4574 6,004 47.4574 284,934
2023-03-31 CQP Blackstone Holdings III L.P. 5,975 47.2593 5,975 47.2593 282,374
2023-03-31 CQP Blackstone Holdings III L.P. 12,959 47.2593 12,959 47.2593 612,433
2021-09-27 CQP Blackstone Holdings III L.P. 100 40.9000 100 40.9000 4,090
2021-09-24 CQP Blackstone Holdings III L.P. 113 40.0000 113 40.0000 4,520
2021-09-22 CQP Blackstone Holdings III L.P. 30,400 39.6032 30,400 39.6032 1,203,937
2020-12-30 CQP Blackstone Holdings II L.P. 27,258 33.7100 27,258 33.7100 918,867
2020-12-30 CQP Blackstone Holdings II L.P. 46,101 34.1400 46,101 34.1400 1,573,888
2017-12-29 CQP Blackstone Group L.P. 231,288 29.4879 231,288 29.4879 6,820,197
2017-12-28 CQP Blackstone Group L.P. 228,535 29.6346 228,535 29.6346 6,772,543
2017-12-22 CQP Blackstone Group L.P. 73,247 28.0447 73,247 28.0447 2,054,190
2017-12-21 CQP Blackstone Group L.P. 42,976 27.8512 42,976 27.8512 1,196,933

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

CQP / Cheniere Energy Partners, L.P. - Limited Partnership Insider Trades
CQP / Cheniere Energy Partners, L.P. - Limited Partnership内部人士卖出 - 短期亏损分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士卖出所达成的短期亏损规避。如果存在持续的亏损规避模式,可能表明未来的内部人士卖出交易预示着价格的下跌。该分析基于每笔交易后一年的情况,

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最低利润的
天数
达到最低利润时的
价格
避免的
最高损失金额($)
避免的
最高损失率($)
2021-03-24 CQP Blackstone Group L.P. 953,855 37.0000 953,855 37.0000 35,292,635 181 38.24 1,182,780 3.35
2021-03-24 CQP Blackstone Group L.P. 953,855 37.0000 953,855 37.0000 35,292,635
2021-03-24 CQP Blackstone Group L.P. 462,922 37.0000 462,922 37.0000 17,128,114

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

CQP / Cheniere Energy Partners, L.P. - Limited Partnership Insider Trades
CRBD / Corebridge Financial, Inc. - Preferred Security内部人士买入 - 短期收益分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士买入的盈利情况。这种分析有助于了解内部人士是否持续产生异常的回报,以及是否值得跟踪。该分析基于每笔交易后一年的情况,结果仅为理论值

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最高利润的
天数
达到最高利润时的
价格
最高
利润($)
最高回报率(%)
当前未知该内部人士进行过任何未预先计划的公开市场交易。

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

CRBD / Corebridge Financial, Inc. - Preferred Security Insider Trades
CRBD / Corebridge Financial, Inc. - Preferred Security内部人士卖出 - 短期亏损分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士卖出所达成的短期亏损规避。如果存在持续的亏损规避模式,可能表明未来的内部人士卖出交易预示着价格的下跌。该分析基于每笔交易后一年的情况,

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最低利润的
天数
达到最低利润时的
价格
避免的
最高损失金额($)
避免的
最高损失率($)
当前未知该内部人士进行过任何未预先计划的公开市场交易。

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

CRBD / Corebridge Financial, Inc. - Preferred Security Insider Trades
CROX / Crocs, Inc.内部人士买入 - 短期收益分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士买入的盈利情况。这种分析有助于了解内部人士是否持续产生异常的回报,以及是否值得跟踪。该分析基于每笔交易后一年的情况,结果仅为理论值

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最高利润的
天数
达到最高利润时的
价格
最高
利润($)
最高回报率(%)
当前未知该内部人士进行过任何未预先计划的公开市场交易。

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

CROX / Crocs, Inc. Insider Trades
CROX / Crocs, Inc.内部人士卖出 - 短期亏损分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士卖出所达成的短期亏损规避。如果存在持续的亏损规避模式,可能表明未来的内部人士卖出交易预示着价格的下跌。该分析基于每笔交易后一年的情况,

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最低利润的
天数
达到最低利润时的
价格
避免的
最高损失金额($)
避免的
最高损失率($)
2019-11-04 CROX Blackstone Holdings III L.P. 6,844,929 35.5400 6,844,929 35.5400 243,268,777 137 10.7700 -169,548,891 -69.70
2019-11-04 CROX Blackstone Holdings III L.P. 17,137 35.5400 17,137 35.5400 609,049
2019-11-04 CROX Blackstone Holdings III L.P. 2,479 35.5400 2,479 35.5400 88,104

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

CROX / Crocs, Inc. Insider Trades
CTOS / Custom Truck One Source, Inc.内部人士买入 - 短期收益分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士买入的盈利情况。这种分析有助于了解内部人士是否持续产生异常的回报,以及是否值得跟踪。该分析基于每笔交易后一年的情况,结果仅为理论值

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最高利润的
天数
达到最高利润时的
价格
最高
利润($)
最高回报率(%)
当前未知该内部人士进行过任何未预先计划的公开市场交易。

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

CTOS / Custom Truck One Source, Inc. Insider Trades
CTOS / Custom Truck One Source, Inc.内部人士卖出 - 短期亏损分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士卖出所达成的短期亏损规避。如果存在持续的亏损规避模式,可能表明未来的内部人士卖出交易预示着价格的下跌。该分析基于每笔交易后一年的情况,

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最低利润的
天数
达到最低利润时的
价格
避免的
最高损失金额($)
避免的
最高损失率($)
2022-02-16 CTOS Blackstone Holdings III L.P. 382,460 8.0700 382,460 8.0700 3,086,452 125 4.7500 -1,269,767 -41.14
2022-02-16 CTOS Blackstone Holdings III L.P. 472,446 8.0700 472,446 8.0700 3,812,639
2022-02-16 CTOS Blackstone Holdings III L.P. 45,860 8.0700 45,860 8.0700 370,090
2022-02-16 CTOS Blackstone Holdings III L.P. 23,457 8.0700 23,457 8.0700 189,298
2022-02-16 CTOS Blackstone Holdings III L.P. 455,487 8.0700 455,487 8.0700 3,675,780
2022-02-16 CTOS Blackstone Holdings III L.P. 466,472 8.0700 466,472 8.0700 3,764,429
2022-02-16 CTOS Blackstone Holdings III L.P. 2,264 8.0700 2,264 8.0700 18,270
2021-11-22 CTOS Blackstone Holdings III L.P. 2,549,735 8.2025 2,549,735 8.2025 20,914,201
2021-11-22 CTOS Blackstone Holdings III L.P. 3,149,642 8.2025 3,149,642 8.2025 25,834,939
2021-11-22 CTOS Blackstone Holdings III L.P. 305,733 8.2025 305,733 8.2025 2,507,775
2021-11-22 CTOS Blackstone Holdings III L.P. 156,378 8.2025 156,378 8.2025 1,282,691
2021-11-22 CTOS Blackstone Holdings III L.P. 3,036,582 8.2025 3,036,582 8.2025 24,907,564
2021-11-22 CTOS Blackstone Holdings III L.P. 3,109,809 8.2025 3,109,809 8.2025 25,508,208
2021-11-22 CTOS Blackstone Holdings III L.P. 15,096 8.2025 15,096 8.2025 123,825

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

CTOS / Custom Truck One Source, Inc. Insider Trades
CYRX / Cryoport, Inc.内部人士买入 - 短期收益分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士买入的盈利情况。这种分析有助于了解内部人士是否持续产生异常的回报,以及是否值得跟踪。该分析基于每笔交易后一年的情况,结果仅为理论值

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最高利润的
天数
达到最高利润时的
价格
最高
利润($)
最高回报率(%)
当前未知该内部人士进行过任何未预先计划的公开市场交易。

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

CYRX / Cryoport, Inc. Insider Trades
CYRX / Cryoport, Inc.内部人士卖出 - 短期亏损分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士卖出所达成的短期亏损规避。如果存在持续的亏损规避模式,可能表明未来的内部人士卖出交易预示着价格的下跌。该分析基于每笔交易后一年的情况,

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最低利润的
天数
达到最低利润时的
价格
避免的
最高损失金额($)
避免的
最高损失率($)
2021-11-16 CYRX Blackstone Holdings II L.P. 488,600 76.0000 488,600 76.0000 37,133,600 358 15.8300 -29,399,062 -79.17
2021-11-16 CYRX Blackstone Holdings II L.P. 11,400 76.0000 11,400 76.0000 866,400
2021-06-09 CYRX Blackstone Holdings II L.P. 488,599 60.0000 488,599 60.0000 29,315,940
2021-06-09 CYRX Blackstone Holdings II L.P. 11,401 60.0000 11,401 60.0000 684,060

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

CYRX / Cryoport, Inc. Insider Trades
EARN / Ellington Credit Company内部人士买入 - 短期收益分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士买入的盈利情况。这种分析有助于了解内部人士是否持续产生异常的回报,以及是否值得跟踪。该分析基于每笔交易后一年的情况,结果仅为理论值

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最高利润的
天数
达到最高利润时的
价格
最高
利润($)
最高回报率(%)
2020-06-15 EARN Blackstone Holdings III L.P. 200 10.0900 200 10.0900 2,018 364 13.77 736 36.47
2020-06-12 EARN Blackstone Holdings III L.P. 14,633 10.2300 14,633 10.2300 149,696
2020-06-11 EARN Blackstone Holdings III L.P. 32,179 9.9500 32,179 9.9500 320,181
2020-06-04 EARN Blackstone Holdings III L.P. 2,703 9.9100 2,703 9.9100 26,787
2020-06-03 EARN Blackstone Holdings III L.P. 17,637 9.8900 17,637 9.8900 174,430
2020-06-02 EARN Blackstone Holdings III L.P. 26,331 9.7500 26,331 9.7500 256,727
2020-06-01 EARN Blackstone Holdings III L.P. 19,700 9.7700 19,700 9.7700 192,469
2020-05-29 EARN Blackstone Holdings III L.P. 23,569 9.5500 23,569 9.5500 225,084
2020-05-28 EARN Blackstone Holdings III L.P. 23,569 9.6800 23,569 9.6800 228,148
2020-05-27 EARN Blackstone Holdings III L.P. 15,200 9.6900 15,200 9.6900 147,288
2020-05-26 EARN Blackstone Holdings III L.P. 12,300 9.7300 12,300 9.7300 119,679
2020-05-22 EARN Blackstone Holdings III L.P. 12,300 9.4200 12,300 9.4200 115,866
2018-11-26 EARN Blackstone Holdings III L.P. 4,421 11.0600 4,421 11.0600 48,896
2018-11-21 EARN Blackstone Holdings III L.P. 5,810 11.0400 5,810 11.0400 64,142
2018-11-20 EARN Blackstone Holdings III L.P. 45,126 10.9000 45,126 10.9000 491,873
2018-11-19 EARN Blackstone Holdings III L.P. 6,399 10.9200 6,399 10.9200 69,877
2018-11-16 EARN Blackstone Holdings III L.P. 9,760 10.8800 9,760 10.8800 106,189
2018-11-15 EARN Blackstone Holdings III L.P. 4,001 10.7800 4,001 10.7800 43,131
2018-11-14 EARN Blackstone Holdings III L.P. 14,911 10.8400 14,911 10.8400 161,635
2018-11-13 EARN Blackstone Holdings III L.P. 7,000 10.7900 7,000 10.7900 75,530
2018-08-20 EARN Blackstone Holdings III L.P. 7,603 11.6700 7,603 11.6700 88,727
2018-08-17 EARN Blackstone Holdings III L.P. 1,297 11.5000 1,297 11.5000 14,916
2018-08-16 EARN Blackstone Holdings III L.P. 17,799 11.4400 17,799 11.4400 203,621
2018-08-15 EARN Blackstone Holdings III L.P. 14,725 11.3400 14,725 11.3400 166,982
2018-08-14 EARN Blackstone Holdings III L.P. 12,724 11.2500 12,724 11.2500 143,145
2018-08-13 EARN Blackstone Holdings III L.P. 16,468 11.2300 16,468 11.2300 184,936
2018-08-10 EARN Blackstone Holdings III L.P. 10,690 11.2100 10,690 11.2100 119,835
2018-06-01 EARN Blackstone Holdings III L.P. 6,939 11.4700 6,939 11.4700 79,590
2018-05-31 EARN Blackstone Holdings III L.P. 7,905 11.5900 7,905 11.5900 91,619
2018-05-30 EARN Blackstone Holdings III L.P. 4,600 11.6100 4,600 11.6100 53,406
2018-05-29 EARN Blackstone Holdings III L.P. 4,830 11.5600 4,830 11.5600 55,835
2018-05-25 EARN Blackstone Holdings III L.P. 10,811 11.5200 10,811 11.5200 124,543
2018-05-24 EARN Blackstone Holdings III L.P. 11,515 11.4200 11,515 11.4200 131,501
2018-05-23 EARN Blackstone Holdings III L.P. 7,254 11.4700 7,254 11.4700 83,203
2018-05-22 EARN Blackstone Holdings III L.P. 8,616 11.3000 8,616 11.3000 97,361
2018-05-21 EARN Blackstone Holdings III L.P. 14,132 11.2500 14,132 11.2500 158,985
2018-05-18 EARN Blackstone Holdings III L.P. 8,820 11.1500 8,820 11.1500 98,343
2018-05-17 EARN Blackstone Holdings III L.P. 8,100 11.1700 8,100 11.1700 90,477
2018-05-16 EARN Blackstone Holdings III L.P. 15,494 11.2100 15,494 11.2100 173,688
2018-05-15 EARN Blackstone Holdings III L.P. 9,600 11.2400 9,600 11.2400 107,904
2018-05-14 EARN Blackstone Holdings III L.P. 11,909 11.2600 11,909 11.2600 134,095
2018-05-11 EARN Blackstone Holdings III L.P. 19,475 11.1100 19,475 11.1100 216,367
2018-03-16 EARN Blackstone Holdings III L.P. 2,700 11.4300 2,700 11.4300 30,861
2018-03-15 EARN Blackstone Holdings III L.P. 11,278 11.4200 11,278 11.4200 128,795
2018-03-12 EARN Blackstone Holdings III L.P. 7,841 11.4300 7,841 11.4300 89,623
2018-03-09 EARN Blackstone Holdings III L.P. 20,536 11.2000 20,536 11.2000 230,003
2018-03-08 EARN Blackstone Holdings III L.P. 10,855 11.0100 10,855 11.0100 119,514
2018-03-07 EARN Blackstone Holdings III L.P. 13,609 10.9000 13,609 10.9000 148,338
2018-03-06 EARN Blackstone Holdings III L.P. 18,002 10.8100 18,002 10.8100 194,602
2016-02-18 EARN Blackstone Holdings III L.P. 2,938 11.8000 2,938 11.8000 34,668
2016-02-17 EARN Blackstone Holdings III L.P. 2,527 11.7000 2,527 11.7000 29,566
2016-02-16 EARN Blackstone Holdings III L.P. 2,140 11.4400 2,140 11.4400 24,482
2015-11-10 EARN Blackstone Holdings III L.P. 20,346 13.1600 20,346 13.1600 267,753
2015-11-09 EARN Blackstone Holdings III L.P. 56,152 12.7700 56,152 12.7700 717,061
2015-11-06 EARN Blackstone Holdings III L.P. 50,000 12.4700 50,000 12.4700 623,500

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

EARN / Ellington Credit Company Insider Trades
EARN / Ellington Credit Company内部人士卖出 - 短期亏损分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士卖出所达成的短期亏损规避。如果存在持续的亏损规避模式,可能表明未来的内部人士卖出交易预示着价格的下跌。该分析基于每笔交易后一年的情况,

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最低利润的
天数
达到最低利润时的
价格
避免的
最高损失金额($)
避免的
最高损失率($)
2021-06-17 EARN Blackstone Holdings III L.P. 2,675,000 12.8000 2,675,000 12.8000 34,240,000 6

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

EARN / Ellington Credit Company Insider Trades
EPIX / ESSA Pharma Inc.内部人士买入 - 短期收益分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士买入的盈利情况。这种分析有助于了解内部人士是否持续产生异常的回报,以及是否值得跟踪。该分析基于每笔交易后一年的情况,结果仅为理论值

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最高利润的
天数
达到最高利润时的
价格
最高
利润($)
最高回报率(%)
当前未知该内部人士进行过任何未预先计划的公开市场交易。

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

EPIX / ESSA Pharma Inc. Insider Trades
EPIX / ESSA Pharma Inc.内部人士卖出 - 短期亏损分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士卖出所达成的短期亏损规避。如果存在持续的亏损规避模式,可能表明未来的内部人士卖出交易预示着价格的下跌。该分析基于每笔交易后一年的情况,

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最低利润的
天数
达到最低利润时的
价格
避免的
最高损失金额($)
避免的
最高损失率($)
当前未知该内部人士进行过任何未预先计划的公开市场交易。

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

EPIX / ESSA Pharma Inc. Insider Trades
EXEEZ / Expand Energy Corporation - Equity Warrant内部人士买入 - 短期收益分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士买入的盈利情况。这种分析有助于了解内部人士是否持续产生异常的回报,以及是否值得跟踪。该分析基于每笔交易后一年的情况,结果仅为理论值

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最高利润的
天数
达到最高利润时的
价格
最高
利润($)
最高回报率(%)
当前未知该内部人士进行过任何未预先计划的公开市场交易。

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

EXEEZ / Expand Energy Corporation - Equity Warrant Insider Trades
EXEEZ / Expand Energy Corporation - Equity Warrant内部人士卖出 - 短期亏损分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士卖出所达成的短期亏损规避。如果存在持续的亏损规避模式,可能表明未来的内部人士卖出交易预示着价格的下跌。该分析基于每笔交易后一年的情况,

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最低利润的
天数
达到最低利润时的
价格
避免的
最高损失金额($)
避免的
最高损失率($)
2022-05-26 CHK Blackstone Holdings III L.P. 140,719 100.5275 140,719 100.5275 14,146,129 293 71.6600 -4,062,205 -28.72
2022-05-26 CHK Blackstone Holdings III L.P. 5,045 101.0153 5,045 101.0153 509,622
2022-05-25 CHK Blackstone Holdings III L.P. 4,236 100.1071 4,236 100.1071 424,054
2022-04-18 CHK Blackstone Holdings III L.P. 29,832 95.6012 29,832 95.6012 2,851,975
2022-04-18 CHK Blackstone Holdings III L.P. 87,132 96.3726 87,132 96.3726 8,397,137
2022-04-18 CHK Blackstone Holdings III L.P. 8,805 97.2862 8,805 97.2862 856,605
2022-04-18 CHK Blackstone Holdings III L.P. 14,306 95.6012 14,306 95.6012 1,367,671
2022-04-18 CHK Blackstone Holdings III L.P. 41,787 96.3726 41,787 96.3726 4,027,122
2022-04-18 CHK Blackstone Holdings III L.P. 4,223 97.2862 4,223 97.2862 410,840
2022-04-14 CHK Blackstone Holdings III L.P. 4,707 95.0527 4,707 95.0527 447,413
2022-04-14 CHK Blackstone Holdings III L.P. 2,258 95.0527 2,258 95.0527 214,629

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

EXEEZ / Expand Energy Corporation - Equity Warrant Insider Trades
FOA / Finance of America Companies Inc.内部人士买入 - 短期收益分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士买入的盈利情况。这种分析有助于了解内部人士是否持续产生异常的回报,以及是否值得跟踪。该分析基于每笔交易后一年的情况,结果仅为理论值

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最高利润的
天数
达到最高利润时的
价格
最高
利润($)
最高回报率(%)
当前未知该内部人士进行过任何未预先计划的公开市场交易。

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

FOA / Finance of America Companies Inc. Insider Trades
FOA / Finance of America Companies Inc.内部人士卖出 - 短期亏损分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士卖出所达成的短期亏损规避。如果存在持续的亏损规避模式,可能表明未来的内部人士卖出交易预示着价格的下跌。该分析基于每笔交易后一年的情况,

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最低利润的
天数
达到最低利润时的
价格
避免的
最高损失金额($)
避免的
最高损失率($)
当前未知该内部人士进行过任何未预先计划的公开市场交易。

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

FOA / Finance of America Companies Inc. Insider Trades
GRTX / Galera Therapeutics, Inc.内部人士买入 - 短期收益分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士买入的盈利情况。这种分析有助于了解内部人士是否持续产生异常的回报,以及是否值得跟踪。该分析基于每笔交易后一年的情况,结果仅为理论值

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最高利润的
天数
达到最高利润时的
价格
最高
利润($)
最高回报率(%)
2019-11-12 GRTX Blackstone Clarus GP L.P. 80,786 12.0000 80,786 12.0000 969,432 111 17.67 458,057 47.25
2019-11-12 GRTX Blackstone Clarus GP L.P. 52,660 12.0000 52,660 12.0000 631,920
2019-11-12 GRTX Blackstone Clarus GP L.P. 97,131 12.0000 97,131 12.0000 1,165,572
2019-11-12 GRTX Blackstone Clarus GP L.P. 19,423 12.0000 19,423 12.0000 233,076

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

GRTX / Galera Therapeutics, Inc. Insider Trades
GRTX / Galera Therapeutics, Inc.内部人士卖出 - 短期亏损分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士卖出所达成的短期亏损规避。如果存在持续的亏损规避模式,可能表明未来的内部人士卖出交易预示着价格的下跌。该分析基于每笔交易后一年的情况,

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最低利润的
天数
达到最低利润时的
价格
避免的
最高损失金额($)
避免的
最高损失率($)
当前未知该内部人士进行过任何未预先计划的公开市场交易。

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

GRTX / Galera Therapeutics, Inc. Insider Trades
GTES / Gates Industrial Corporation plc内部人士买入 - 短期收益分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士买入的盈利情况。这种分析有助于了解内部人士是否持续产生异常的回报,以及是否值得跟踪。该分析基于每笔交易后一年的情况,结果仅为理论值

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最高利润的
天数
达到最高利润时的
价格
最高
利润($)
最高回报率(%)
2020-05-22 GTES Blackstone Group L.P. 13,000 9.5600 13,000 9.5600 124,280 277 17.87 108,030 86.92
2020-05-21 GTES Blackstone Group L.P. 700 9.7300 700 9.7300 6,811
2020-05-15 GTES Blackstone Group L.P. 81,500 8.6800 81,500 8.6800 707,420
2020-05-14 GTES Blackstone Group L.P. 81,500 8.6300 81,500 8.6300 703,345
2020-05-13 GTES Blackstone Group L.P. 81,500 8.8500 81,500 8.8500 721,275
2020-05-12 GTES Blackstone Group L.P. 81,500 9.0600 81,500 9.0600 738,390
2020-05-11 GTES Blackstone Group L.P. 81,500 8.9800 81,500 8.9800 731,870
2020-05-08 GTES Blackstone Group L.P. 69,000 8.6700 69,000 8.6700 598,230
2020-03-13 GTES Blackstone Group L.P. 86,675 7.8000 86,675 7.8000 676,065
2020-03-13 GTES Blackstone Group L.P. 3,325 8.3900 3,325 8.3900 27,897
2020-03-12 GTES Blackstone Group L.P. 90,000 8.1700 90,000 8.1700 735,300
2020-03-11 GTES Blackstone Group L.P. 90,000 8.9700 90,000 8.9700 807,300

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

GTES / Gates Industrial Corporation plc Insider Trades
GTES / Gates Industrial Corporation plc内部人士卖出 - 短期亏损分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士卖出所达成的短期亏损规避。如果存在持续的亏损规避模式,可能表明未来的内部人士卖出交易预示着价格的下跌。该分析基于每笔交易后一年的情况,

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最低利润的
天数
达到最低利润时的
价格
避免的
最高损失金额($)
避免的
最高损失率($)
2024-08-21 GTES Blackstone Group L.P. 13,748,723 16.5800 13,748,723 16.5800 227,953,827 230 15.5600 -14,023,697 -6.15
2024-08-21 GTES Blackstone Group L.P. 13,294,543 16.5800 13,294,543 16.5800 220,423,523
2024-08-21 GTES Blackstone Group L.P. 45,521 16.5800 45,521 16.5800 754,738
2024-08-21 GTES Blackstone Group L.P. 2,804,217 16.5800 2,804,217 16.5800 46,493,918
2024-08-21 GTES Blackstone Group L.P. 646,199 16.5800 646,199 16.5800 10,713,979
2024-05-21 GTES Blackstone Group L.P. 9,060,258 16.3300 9,060,258 16.3300 147,954,013
2024-05-21 GTES Blackstone Group L.P. 8,760,958 16.3300 8,760,958 16.3300 143,066,444
2024-05-21 GTES Blackstone Group L.P. 29,998 16.3300 29,998 16.3300 489,867
2024-05-21 GTES Blackstone Group L.P. 1,847,949 16.3300 1,847,949 16.3300 30,177,007
2024-05-21 GTES Blackstone Group L.P. 425,837 16.3300 425,837 16.3300 6,953,918
2024-02-16 GTES Blackstone Group L.P. 10,929,079 12.0450 10,929,079 12.0450 131,640,757
2024-02-16 GTES Blackstone Group L.P. 10,568,044 12.0450 10,568,044 12.0450 127,292,090
2024-02-16 GTES Blackstone Group L.P. 36,186 12.0450 36,186 12.0450 435,860
2024-02-16 GTES Blackstone Group L.P. 2,229,118 12.0450 2,229,118 12.0450 26,849,726
2024-02-16 GTES Blackstone Group L.P. 513,673 12.0450 513,673 12.0450 6,187,191
2023-08-14 GTES Blackstone Group L.P. 7,933,812 11.5700 7,933,812 11.5700 91,794,205
2023-08-14 GTES Blackstone Group L.P. 7,671,724 11.5700 7,671,724 11.5700 88,761,847
2023-08-14 GTES Blackstone Group L.P. 26,268 11.5700 26,268 11.5700 303,921
2023-08-14 GTES Blackstone Group L.P. 1,618,196 11.5700 1,618,196 11.5700 18,722,528
2023-05-23 GTES Blackstone Group L.P. 21,989,140 11.3975 21,989,140 11.3975 250,621,223
2023-05-23 GTES Blackstone Group L.P. 21,262,740 11.3975 21,262,740 11.3975 242,342,079
2023-05-23 GTES Blackstone Group L.P. 72,804 11.3975 72,804 11.3975 829,784
2023-05-23 GTES Blackstone Group L.P. 4,484,950 11.3975 4,484,950 11.3975 51,117,218
2022-03-30 GTES Blackstone Group L.P. 6,324,053 15.1400 6,324,053 15.1400 95,746,162
2022-03-30 GTES Blackstone Group L.P. 6,115,142 15.1400 6,115,142 15.1400 92,583,250
2022-03-30 GTES Blackstone Group L.P. 20,938 15.1400 20,938 15.1400 317,001
2022-03-30 GTES Blackstone Group L.P. 1,289,867 15.1400 1,289,867 15.1400 19,528,586
2021-08-16 GTES Blackstone Group L.P. 2,696,994 15.3600 2,696,994 15.3600 41,425,828
2021-08-16 GTES Blackstone Group L.P. 13,223,021 15.3600 13,223,021 15.3600 203,105,603
2021-08-16 GTES Blackstone Group L.P. 12,786,205 15.3600 12,786,205 15.3600 196,396,109
2021-08-16 GTES Blackstone Group L.P. 43,780 15.3600 43,780 15.3600 672,461

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

GTES / Gates Industrial Corporation plc Insider Trades
HGV / Hilton Grand Vacations Inc.内部人士买入 - 短期收益分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士买入的盈利情况。这种分析有助于了解内部人士是否持续产生异常的回报,以及是否值得跟踪。该分析基于每笔交易后一年的情况,结果仅为理论值

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最高利润的
天数
达到最高利润时的
价格
最高
利润($)
最高回报率(%)
当前未知该内部人士进行过任何未预先计划的公开市场交易。

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

HGV / Hilton Grand Vacations Inc. Insider Trades
HGV / Hilton Grand Vacations Inc.内部人士卖出 - 短期亏损分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士卖出所达成的短期亏损规避。如果存在持续的亏损规避模式,可能表明未来的内部人士卖出交易预示着价格的下跌。该分析基于每笔交易后一年的情况,

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最低利润的
天数
达到最低利润时的
价格
避免的
最高损失金额($)
避免的
最高损失率($)
2017-06-20 HGV Blackstone Real Estate Associates VI L.P. 8,472,479 35.4000 8,472,479 35.4000 299,925,757 51 34.0500 -11,437,846 -3.81
2017-06-20 HGV Blackstone Real Estate Associates VI L.P. 292,021 35.4000 292,021 35.4000 10,337,543
2017-06-20 HGV Blackstone Real Estate Associates VI L.P. 29,900 35.4000 29,900 35.4000 1,058,460
2017-06-20 HGV Blackstone Real Estate Associates VI L.P. 1,759 35.4000 1,759 35.4000 62,269
2017-06-20 HGV Blackstone Real Estate Associates VI L.P. 848,802 35.4000 848,802 35.4000 30,047,591
2017-06-20 HGV Blackstone Real Estate Associates VI L.P. 5,039 35.4000 5,039 35.4000 178,381

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

HGV / Hilton Grand Vacations Inc. Insider Trades
KNTK / Kinetik Holdings Inc.内部人士买入 - 短期收益分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士买入的盈利情况。这种分析有助于了解内部人士是否持续产生异常的回报,以及是否值得跟踪。该分析基于每笔交易后一年的情况,结果仅为理论值

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最高利润的
天数
达到最高利润时的
价格
最高
利润($)
最高回报率(%)
当前未知该内部人士进行过任何未预先计划的公开市场交易。

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

KNTK / Kinetik Holdings Inc. Insider Trades
KNTK / Kinetik Holdings Inc.内部人士卖出 - 短期亏损分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士卖出所达成的短期亏损规避。如果存在持续的亏损规避模式,可能表明未来的内部人士卖出交易预示着价格的下跌。该分析基于每笔交易后一年的情况,

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最低利润的
天数
达到最低利润时的
价格
避免的
最高损失金额($)
避免的
最高损失率($)
当前未知该内部人士进行过任何未预先计划的公开市场交易。

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

KNTK / Kinetik Holdings Inc. Insider Trades
KOS / Kosmos Energy Ltd.内部人士买入 - 短期收益分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士买入的盈利情况。这种分析有助于了解内部人士是否持续产生异常的回报,以及是否值得跟踪。该分析基于每笔交易后一年的情况,结果仅为理论值

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最高利润的
天数
达到最高利润时的
价格
最高
利润($)
最高回报率(%)
当前未知该内部人士进行过任何未预先计划的公开市场交易。

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

KOS / Kosmos Energy Ltd. Insider Trades
KOS / Kosmos Energy Ltd.内部人士卖出 - 短期亏损分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士卖出所达成的短期亏损规避。如果存在持续的亏损规避模式,可能表明未来的内部人士卖出交易预示着价格的下跌。该分析基于每笔交易后一年的情况,

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最低利润的
天数
达到最低利润时的
价格
避免的
最高损失金额($)
避免的
最高损失率($)
2018-09-19 KOS Blackstone Holdings III L.P. 3,090,802 8.9400 3,090,802 8.9400 27,631,770 96 3.6500 -16,350,342 -59.17
2018-09-19 KOS Blackstone Holdings III L.P. 50,405 8.9400 50,405 8.9400 450,621
2018-09-19 KOS Blackstone Holdings III L.P. 79,445 8.9400 79,445 8.9400 710,238
2018-09-19 KOS Blackstone Holdings III L.P. 65,963 8.9400 65,963 8.9400 589,709
2018-09-19 KOS Blackstone Holdings III L.P. 8,956 8.9400 8,956 8.9400 80,067
2017-01-18 KOS Blackstone Holdings III L.P. 12,643,161 6.5800 12,643,161 6.5800 83,191,999
2017-01-18 KOS Blackstone Holdings III L.P. 206,185 6.5800 206,185 6.5800 1,356,697
2017-01-18 KOS Blackstone Holdings III L.P. 334,865 6.5800 334,865 6.5800 2,203,412
2017-01-18 KOS Blackstone Holdings III L.P. 278,037 6.5800 278,037 6.5800 1,829,483
2017-01-18 KOS Blackstone Holdings III L.P. 37,752 6.5800 37,752 6.5800 248,408
2014-10-10 KOS Blackstone Holdings III L.P. 6,330,589 9.3300 6,330,589 9.3300 59,064,395
2014-10-10 KOS Blackstone Holdings III L.P. 103,240 9.3300 103,240 9.3300 963,229
2014-10-10 KOS Blackstone Holdings III L.P. 162,720 9.3300 162,720 9.3300 1,518,178
2014-10-10 KOS Blackstone Holdings III L.P. 135,106 9.3300 135,106 9.3300 1,260,539
2014-10-10 KOS Blackstone Holdings III L.P. 18,345 9.3300 18,345 9.3300 171,159
2014-07-15 KOS Blackstone Holdings III L.P. 8,250,868 9.8500 8,250,868 9.8500 81,271,050
2014-07-15 KOS Blackstone Holdings III L.P. 134,556 9.8500 134,556 9.8500 1,325,377
2014-07-15 KOS Blackstone Holdings III L.P. 212,078 9.8500 212,078 9.8500 2,088,968
2014-07-15 KOS Blackstone Holdings III L.P. 176,088 9.8500 176,088 9.8500 1,734,467
2014-07-15 KOS Blackstone Holdings III L.P. 23,910 9.8500 23,910 9.8500 235,514
2013-03-15 KOS Blackstone Holdings III L.P. 1,755,619 10.5875 1,755,619 10.5875 18,587,616
2013-03-15 KOS Blackstone Holdings III L.P. 28,631 10.5875 28,631 10.5875 303,131
2013-03-15 KOS Blackstone Holdings III L.P. 46,308 10.5875 46,308 10.5875 490,286
2013-03-15 KOS Blackstone Holdings III L.P. 38,450 10.5875 38,450 10.5875 407,089
2013-03-15 KOS Blackstone Holdings III L.P. 5,221 10.5875 5,221 10.5875 55,277
2013-02-21 KOS Blackstone Holdings III L.P. 11,555,266 10.5875 11,555,266 10.5875 122,341,379
2013-02-21 KOS Blackstone Holdings III L.P. 188,444 10.5875 188,444 10.5875 1,995,151
2013-02-21 KOS Blackstone Holdings III L.P. 304,796 10.5875 304,796 10.5875 3,227,028
2013-02-21 KOS Blackstone Holdings III L.P. 253,071 10.5875 253,071 10.5875 2,679,389
2013-02-21 KOS Blackstone Holdings III L.P. 34,362 10.5875 34,362 10.5875 363,808

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

KOS / Kosmos Energy Ltd. Insider Trades
LNG / Cheniere Energy, Inc.内部人士买入 - 短期收益分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士买入的盈利情况。这种分析有助于了解内部人士是否持续产生异常的回报,以及是否值得跟踪。该分析基于每笔交易后一年的情况,结果仅为理论值

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最高利润的
天数
达到最高利润时的
价格
最高
利润($)
最高回报率(%)
当前未知该内部人士进行过任何未预先计划的公开市场交易。

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

LNG / Cheniere Energy, Inc. Insider Trades
LNG / Cheniere Energy, Inc.内部人士卖出 - 短期亏损分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士卖出所达成的短期亏损规避。如果存在持续的亏损规避模式,可能表明未来的内部人士卖出交易预示着价格的下跌。该分析基于每笔交易后一年的情况,

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最低利润的
天数
达到最低利润时的
价格
避免的
最高损失金额($)
避免的
最高损失率($)
当前未知该内部人士进行过任何未预先计划的公开市场交易。

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

LNG / Cheniere Energy, Inc. Insider Trades
NCRRP / NCR Voyix Corporation - Preferred Security内部人士买入 - 短期收益分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士买入的盈利情况。这种分析有助于了解内部人士是否持续产生异常的回报,以及是否值得跟踪。该分析基于每笔交易后一年的情况,结果仅为理论值

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最高利润的
天数
达到最高利润时的
价格
最高
利润($)
最高回报率(%)
当前未知该内部人士进行过任何未预先计划的公开市场交易。

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

NCRRP / NCR Voyix Corporation - Preferred Security Insider Trades
NCRRP / NCR Voyix Corporation - Preferred Security内部人士卖出 - 短期亏损分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士卖出所达成的短期亏损规避。如果存在持续的亏损规避模式,可能表明未来的内部人士卖出交易预示着价格的下跌。该分析基于每笔交易后一年的情况,

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最低利润的
天数
达到最低利润时的
价格
避免的
最高损失金额($)
避免的
最高损失率($)
2019-09-20 NCR Blackstone Holdings III L.P. 13,409 32.7500 21,857 20.0920 439,145 180 11.78 -181,680 -41.37
2019-09-20 NCR Blackstone Holdings III L.P. 7,968 32.7500 12,988 20.0920 260,952
2017-03-17 NCR Blackstone Holdings III L.P. 2,236,916 48.4700 3,646,173 29.7362 108,423,319
2017-03-17 NCR Blackstone Holdings III L.P. 4,438 48.4700 7,234 29.7362 215,110
2017-03-17 NCR Blackstone Holdings III L.P. 758,729 48.4700 1,236,728 29.7362 36,775,595
2017-03-17 NCR Blackstone Holdings III L.P. 2,670 48.4700 4,352 29.7362 129,415

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

NCRRP / NCR Voyix Corporation - Preferred Security Insider Trades
OPFI / OppFi Inc.内部人士买入 - 短期收益分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士买入的盈利情况。这种分析有助于了解内部人士是否持续产生异常的回报,以及是否值得跟踪。该分析基于每笔交易后一年的情况,结果仅为理论值

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最高利润的
天数
达到最高利润时的
价格
最高
利润($)
最高回报率(%)
当前未知该内部人士进行过任何未预先计划的公开市场交易。

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

OPFI / OppFi Inc. Insider Trades
OPFI / OppFi Inc.内部人士卖出 - 短期亏损分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士卖出所达成的短期亏损规避。如果存在持续的亏损规避模式,可能表明未来的内部人士卖出交易预示着价格的下跌。该分析基于每笔交易后一年的情况,

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最低利润的
天数
达到最低利润时的
价格
避免的
最高损失金额($)
避免的
最高损失率($)
2021-10-21 OPFI Blackstone Holdings I L.P. 6,900 7.1389 6,900 7.1389 49,258 358 2.0000 -35,458 -71.98
2021-10-21 OPFI Blackstone Holdings I L.P. 31,366 7.0401 31,366 7.0401 220,820
2021-10-21 OPFI Blackstone Holdings I L.P. 7,600 7.0007 7,600 7.0007 53,205

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

OPFI / OppFi Inc. Insider Trades
PACK / Ranpak Holdings Corp.内部人士买入 - 短期收益分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士买入的盈利情况。这种分析有助于了解内部人士是否持续产生异常的回报,以及是否值得跟踪。该分析基于每笔交易后一年的情况,结果仅为理论值

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最高利润的
天数
达到最高利润时的
价格
最高
利润($)
最高回报率(%)
2020-06-01 PACK Blackstone Holdings I L.P. 280,000 7.4900 280,000 7.4900 2,097,200 358 24.68 4,813,200 229.51
2020-06-01 PACK Blackstone Holdings I L.P. 36,750 6.8159 36,750 6.8159 250,484

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

PACK / Ranpak Holdings Corp. Insider Trades
PACK / Ranpak Holdings Corp.内部人士卖出 - 短期亏损分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士卖出所达成的短期亏损规避。如果存在持续的亏损规避模式,可能表明未来的内部人士卖出交易预示着价格的下跌。该分析基于每笔交易后一年的情况,

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最低利润的
天数
达到最低利润时的
价格
避免的
最高损失金额($)
避免的
最高损失率($)
2020-06-01 PACK Blackstone Holdings I L.P. 280,000 7.4900 280,000 7.4900 2,097,200 25 6.94 -154,000 -7.34
2020-06-01 PACK Blackstone Holdings I L.P. 36,750 6.8159 36,750 6.8159 250,484

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

PACK / Ranpak Holdings Corp. Insider Trades
PBF / PBF Energy Inc.内部人士买入 - 短期收益分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士买入的盈利情况。这种分析有助于了解内部人士是否持续产生异常的回报,以及是否值得跟踪。该分析基于每笔交易后一年的情况,结果仅为理论值

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最高利润的
天数
达到最高利润时的
价格
最高
利润($)
最高回报率(%)
当前未知该内部人士进行过任何未预先计划的公开市场交易。

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

PBF / PBF Energy Inc. Insider Trades
PBF / PBF Energy Inc.内部人士卖出 - 短期亏损分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士卖出所达成的短期亏损规避。如果存在持续的亏损规避模式,可能表明未来的内部人士卖出交易预示着价格的下跌。该分析基于每笔交易后一年的情况,

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最低利润的
天数
达到最低利润时的
价格
避免的
最高损失金额($)
避免的
最高损失率($)
2014-06-17 PBF Blackstone Holdings II L.P. 12,573,720 29.7500 12,573,720 29.7500 374,068,174 120 22.1200 -95,937,487 -25.65
2014-06-17 PBF Blackstone Holdings II L.P. 2,253,028 29.7500 2,253,028 29.7500 67,027,581
2014-06-17 PBF Blackstone Holdings II L.P. 69,353 29.7500 69,353 29.7500 2,063,250
2014-06-17 PBF Blackstone Holdings II L.P. 263,373 29.7500 263,373 29.7500 7,835,335
2014-06-17 PBF Blackstone Holdings II L.P. 31,865 29.7500 31,865 29.7500 947,995
2014-01-10 PBF Blackstone Holdings II L.P. 6,207,675 27.2500 6,207,675 27.2500 169,159,154
2014-01-10 PBF Blackstone Holdings II L.P. 1,112,325 27.2500 1,112,325 27.2500 30,310,862
2014-01-10 PBF Blackstone Holdings II L.P. 34,240 27.2500 34,240 27.2500 933,032
2014-01-10 PBF Blackstone Holdings II L.P. 130,028 27.2500 130,028 27.2500 3,543,254
2014-01-10 PBF Blackstone Holdings II L.P. 15,732 27.2500 15,732 27.2500 428,698
2013-06-12 PBF Blackstone Holdings II L.P. 6,600,828 26.1900 6,600,828 26.1900 172,875,689
2013-06-12 PBF Blackstone Holdings II L.P. 1,182,772 26.1900 1,182,772 26.1900 30,976,811
2013-06-12 PBF Blackstone Holdings II L.P. 36,408 26.1900 36,408 26.1900 953,532
2013-06-12 PBF Blackstone Holdings II L.P. 138,263 26.1900 138,263 26.1900 3,621,102
2013-06-12 PBF Blackstone Holdings II L.P. 16,728 26.1900 16,728 26.1900 438,116
2012-12-18 PBF Blackstone Holdings II L.P. 1,269,547 26.0000 1,269,547 26.0000 33,008,212
2012-12-18 PBF Blackstone Holdings II L.P. 227,484 26.0000 227,484 26.0000 5,914,592
2012-12-18 PBF Blackstone Holdings II L.P. 7,002 26.0000 7,002 26.0000 182,065
2012-12-18 PBF Blackstone Holdings II L.P. 26,592 26.0000 26,592 26.0000 691,400
2012-12-18 PBF Blackstone Holdings II L.P. 3,217 26.0000 3,217 26.0000 83,652

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

PBF / PBF Energy Inc. Insider Trades
PFGC / Performance Food Group Company内部人士买入 - 短期收益分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士买入的盈利情况。这种分析有助于了解内部人士是否持续产生异常的回报,以及是否值得跟踪。该分析基于每笔交易后一年的情况,结果仅为理论值

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最高利润的
天数
达到最高利润时的
价格
最高
利润($)
最高回报率(%)
当前未知该内部人士进行过任何未预先计划的公开市场交易。

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

PFGC / Performance Food Group Company Insider Trades
PFGC / Performance Food Group Company内部人士卖出 - 短期亏损分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士卖出所达成的短期亏损规避。如果存在持续的亏损规避模式,可能表明未来的内部人士卖出交易预示着价格的下跌。该分析基于每笔交易后一年的情况,

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最低利润的
天数
达到最低利润时的
价格
避免的
最高损失金额($)
避免的
最高损失率($)
2017-05-18 PFGC Blackstone Holdings III L.P. 11,450,399 27.4100 11,450,399 27.4100 313,855,437 89 25.95 -16,717,582 -5.33
2017-05-18 PFGC Blackstone Holdings III L.P. 1,886,399 27.4100 1,886,399 27.4100 51,706,197
2017-05-18 PFGC Blackstone Holdings III L.P. 149,508 27.4100 149,508 27.4100 4,098,014
2017-05-18 PFGC Blackstone Holdings III L.P. 30,095 27.4100 30,095 27.4100 824,904
2017-05-18 PFGC Blackstone Holdings III L.P. 184,064 27.4100 184,064 27.4100 5,045,194
2016-11-21 PFGC Blackstone Holdings III L.P. 8,167,694 22.6600 8,167,694 22.6600 185,079,946
2016-11-21 PFGC Blackstone Holdings III L.P. 1,308,369 22.6600 1,308,369 22.6600 29,647,642
2016-11-21 PFGC Blackstone Holdings III L.P. 103,697 22.6600 103,697 22.6600 2,349,774
2016-11-21 PFGC Blackstone Holdings III L.P. 20,874 22.6600 20,874 22.6600 473,005
2016-11-21 PFGC Blackstone Holdings III L.P. 127,663 22.6600 127,663 22.6600 2,892,844
2016-05-24 PFGC Blackstone Holdings III L.P. 9,801,233 23.3406 9,801,233 23.3406 228,766,659
2016-05-24 PFGC Blackstone Holdings III L.P. 1,570,043 23.3406 1,570,043 23.3406 36,645,746
2016-05-24 PFGC Blackstone Holdings III L.P. 124,436 23.3406 124,436 23.3406 2,904,411
2016-05-24 PFGC Blackstone Holdings III L.P. 25,049 23.3406 25,049 23.3406 584,659
2016-05-24 PFGC Blackstone Holdings III L.P. 153,195 23.3406 153,195 23.3406 3,575,663

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

PFGC / Performance Food Group Company Insider Trades
PJT / PJT Partners Inc.内部人士买入 - 短期收益分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士买入的盈利情况。这种分析有助于了解内部人士是否持续产生异常的回报,以及是否值得跟踪。该分析基于每笔交易后一年的情况,结果仅为理论值

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最高利润的
天数
达到最高利润时的
价格
最高
利润($)
最高回报率(%)
当前未知该内部人士进行过任何未预先计划的公开市场交易。

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

PJT / PJT Partners Inc. Insider Trades
PJT / PJT Partners Inc.内部人士卖出 - 短期亏损分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士卖出所达成的短期亏损规避。如果存在持续的亏损规避模式,可能表明未来的内部人士卖出交易预示着价格的下跌。该分析基于每笔交易后一年的情况,

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最低利润的
天数
达到最低利润时的
价格
避免的
最高损失金额($)
避免的
最高损失率($)
当前未知该内部人士进行过任何未预先计划的公开市场交易。

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

PJT / PJT Partners Inc. Insider Trades
PK / Park Hotels & Resorts Inc.内部人士买入 - 短期收益分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士买入的盈利情况。这种分析有助于了解内部人士是否持续产生异常的回报,以及是否值得跟踪。该分析基于每笔交易后一年的情况,结果仅为理论值

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最高利润的
天数
达到最高利润时的
价格
最高
利润($)
最高回报率(%)
当前未知该内部人士进行过任何未预先计划的公开市场交易。

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

PK / Park Hotels & Resorts Inc. Insider Trades
PK / Park Hotels & Resorts Inc.内部人士卖出 - 短期亏损分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士卖出所达成的短期亏损规避。如果存在持续的亏损规避模式,可能表明未来的内部人士卖出交易预示着价格的下跌。该分析基于每笔交易后一年的情况,

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最低利润的
天数
达到最低利润时的
价格
避免的
最高损失金额($)
避免的
最高损失率($)
2017-06-07 PK Blackstone Real Estate Associates VI L.P. 13,169,575 26.0500 13,169,575 26.0500 343,067,429 268 24.4200 -21,466,406 -6.26
2017-06-07 PK Blackstone Real Estate Associates VI L.P. 453,919 26.0500 453,919 26.0500 11,824,590
2017-06-07 PK Blackstone Real Estate Associates VI L.P. 46,476 26.0500 46,476 26.0500 1,210,700
2017-06-07 PK Blackstone Real Estate Associates VI L.P. 2,735 26.0500 2,735 26.0500 71,247
2017-06-07 PK Blackstone Real Estate Associates VI L.P. 1,319,463 26.0500 1,319,463 26.0500 34,372,011
2017-06-07 PK Blackstone Real Estate Associates VI L.P. 7,832 26.0500 7,832 26.0500 204,024

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

PK / Park Hotels & Resorts Inc. Insider Trades
PRAX / Praxis Precision Medicines, Inc.内部人士买入 - 短期收益分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士买入的盈利情况。这种分析有助于了解内部人士是否持续产生异常的回报,以及是否值得跟踪。该分析基于每笔交易后一年的情况,结果仅为理论值

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最高利润的
天数
达到最高利润时的
价格
最高
利润($)
最高回报率(%)
当前未知该内部人士进行过任何未预先计划的公开市场交易。

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

PRAX / Praxis Precision Medicines, Inc. Insider Trades
PRAX / Praxis Precision Medicines, Inc.内部人士卖出 - 短期亏损分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士卖出所达成的短期亏损规避。如果存在持续的亏损规避模式,可能表明未来的内部人士卖出交易预示着价格的下跌。该分析基于每笔交易后一年的情况,

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最低利润的
天数
达到最低利润时的
价格
避免的
最高损失金额($)
避免的
最高损失率($)
2021-10-06 PRAX BSOF Parallel Master Fund L.P. 400,000 17.5000 26,667 262.5000 7,000,000 246 26.25 -6,300,018 -90.00
2021-10-05 PRAX BSOF Parallel Master Fund L.P. 23,946 19.1500 1,596 287.2500 458,566
2021-10-01 PRAX BSOF Parallel Master Fund L.P. 22,600 19.1300 1,507 286.9500 432,338
2021-08-23 PRAX BSOF Parallel Master Fund L.P. 351,625 19.0000 23,442 285.0000 6,680,875
2021-08-23 PRAX BSOF Parallel Master Fund L.P. 771 20.0400 51 300.6000 15,451
2021-08-18 PRAX BSOF Parallel Master Fund L.P. 3,000 15.8800 200 238.2000 47,640
2021-08-12 PRAX BSOF Parallel Master Fund L.P. 10,060 13.9200 671 208.8000 140,035
2021-08-11 PRAX BSOF Parallel Master Fund L.P. 17,222 15.0300 1,148 225.4500 258,847
2021-08-03 PRAX BSOF Parallel Master Fund L.P. 22,300 14.9900 1,487 224.8500 334,277
2021-08-02 PRAX BSOF Parallel Master Fund L.P. 40,000 15.7800 2,667 236.7000 631,200
2021-07-30 PRAX BSOF Parallel Master Fund L.P. 15,854 15.6800 1,057 235.2000 248,591

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

PRAX / Praxis Precision Medicines, Inc. Insider Trades
PRKS / United Parks & Resorts Inc.内部人士买入 - 短期收益分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士买入的盈利情况。这种分析有助于了解内部人士是否持续产生异常的回报,以及是否值得跟踪。该分析基于每笔交易后一年的情况,结果仅为理论值

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最高利润的
天数
达到最高利润时的
价格
最高
利润($)
最高回报率(%)
当前未知该内部人士进行过任何未预先计划的公开市场交易。

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

PRKS / United Parks & Resorts Inc. Insider Trades
PRKS / United Parks & Resorts Inc.内部人士卖出 - 短期亏损分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士卖出所达成的短期亏损规避。如果存在持续的亏损规避模式,可能表明未来的内部人士卖出交易预示着价格的下跌。该分析基于每笔交易后一年的情况,

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最低利润的
天数
达到最低利润时的
价格
避免的
最高损失金额($)
避免的
最高损失率($)
2017-05-08 SEAS Blackstone Holdings III L.P. 15,820,811 23.0000 15,820,811 23.0000 363,878,653 198 10.6100 -196,019,848 -53.87
2017-05-08 SEAS Blackstone Holdings III L.P. 493,827 23.0000 493,827 23.0000 11,358,021
2017-05-08 SEAS Blackstone Holdings III L.P. 555,394 23.0000 555,394 23.0000 12,774,062
2017-05-08 SEAS Blackstone Holdings III L.P. 506,711 23.0000 506,711 23.0000 11,654,353
2017-05-08 SEAS Blackstone Holdings III L.P. 132,040 23.0000 132,040 23.0000 3,036,920
2017-05-08 SEAS Blackstone Holdings III L.P. 570,487 23.0000 570,487 23.0000 13,121,201
2017-05-08 SEAS Blackstone Holdings III L.P. 445,853 23.0000 445,853 23.0000 10,254,619
2017-05-08 SEAS Blackstone Holdings III L.P. 679,058 23.0000 679,058 23.0000 15,618,334
2017-05-08 SEAS Blackstone Holdings III L.P. 247,882 23.0000 247,882 23.0000 5,701,286
2014-04-09 SEAS Blackstone Holdings III L.P. 1,367,522 28.8750 1,367,522 28.8750 39,487,198
2014-04-09 SEAS Blackstone Holdings III L.P. 42,685 28.8750 42,685 28.8750 1,232,529
2014-04-09 SEAS Blackstone Holdings III L.P. 48,007 28.8750 48,007 28.8750 1,386,202
2014-04-09 SEAS Blackstone Holdings III L.P. 43,799 28.8750 43,799 28.8750 1,264,696
2014-04-09 SEAS Blackstone Holdings III L.P. 15,735 28.8750 15,735 28.8750 454,348
2014-04-09 SEAS Blackstone Holdings III L.P. 49,312 28.8750 49,312 28.8750 1,423,884
2014-04-09 SEAS Blackstone Holdings III L.P. 38,539 28.8750 38,539 28.8750 1,112,814
2014-04-09 SEAS Blackstone Holdings III L.P. 58,696 28.8750 58,696 28.8750 1,694,847
2014-04-09 SEAS Blackstone Holdings III L.P. 64,279 28.8750 64,279 28.8750 1,856,056
2014-04-09 SEAS Blackstone Holdings III L.P. 21,426 28.8750 21,426 28.8750 618,676
2014-04-09 SEAS Blackstone Holdings III L.P. 13,479,845 28.8750 13,479,845 28.8750 389,230,524
2014-04-09 SEAS Blackstone Holdings III L.P. 420,756 28.8750 420,756 28.8750 12,149,330
2014-04-09 SEAS Blackstone Holdings III L.P. 473,213 28.8750 473,213 28.8750 13,664,025
2014-04-09 SEAS Blackstone Holdings III L.P. 431,734 28.8750 431,734 28.8750 12,466,319
2014-04-09 SEAS Blackstone Holdings III L.P. 155,104 28.8750 155,104 28.8750 4,478,628
2014-04-09 SEAS Blackstone Holdings III L.P. 486,074 28.8750 486,074 28.8750 14,035,387
2014-04-09 SEAS Blackstone Holdings III L.P. 379,882 28.8750 379,882 28.8750 10,969,093
2014-04-09 SEAS Blackstone Holdings III L.P. 578,579 28.8750 578,579 28.8750 16,706,469
2014-04-09 SEAS Blackstone Holdings III L.P. 633,610 28.8750 633,610 28.8750 18,295,489
2014-04-09 SEAS Blackstone Holdings III L.P. 211,203 28.8750 211,203 28.8750 6,098,487
2013-12-17 SEAS Blackstone Holdings III L.P. 1,172,162 28.8750 1,172,162 28.8750 33,846,178
2013-12-17 SEAS Blackstone Holdings III L.P. 36,587 28.8750 36,587 28.8750 1,056,450
2013-12-17 SEAS Blackstone Holdings III L.P. 41,149 28.8750 41,149 28.8750 1,188,177
2013-12-17 SEAS Blackstone Holdings III L.P. 37,542 28.8750 37,542 28.8750 1,084,025
2013-12-17 SEAS Blackstone Holdings III L.P. 13,487 28.8750 13,487 28.8750 389,437
2013-12-17 SEAS Blackstone Holdings III L.P. 42,267 28.8750 42,267 28.8750 1,220,460
2013-12-17 SEAS Blackstone Holdings III L.P. 33,033 28.8750 33,033 28.8750 953,828
2013-12-17 SEAS Blackstone Holdings III L.P. 50,311 28.8750 50,311 28.8750 1,452,730
2013-12-17 SEAS Blackstone Holdings III L.P. 55,096 28.8750 55,096 28.8750 1,590,897
2013-12-17 SEAS Blackstone Holdings III L.P. 18,366 28.8750 18,366 28.8750 530,318
2013-12-17 SEAS Blackstone Holdings III L.P. 14,065,928 28.8750 14,065,928 28.8750 406,153,671
2013-12-17 SEAS Blackstone Holdings III L.P. 439,049 28.8750 439,049 28.8750 12,677,540
2013-12-17 SEAS Blackstone Holdings III L.P. 493,788 28.8750 493,788 28.8750 14,258,128
2013-12-17 SEAS Blackstone Holdings III L.P. 450,505 28.8750 450,505 28.8750 13,008,332
2013-12-17 SEAS Blackstone Holdings III L.P. 161,847 28.8750 161,847 28.8750 4,673,332
2013-12-17 SEAS Blackstone Holdings III L.P. 507,207 28.8750 507,207 28.8750 14,645,602
2013-12-17 SEAS Blackstone Holdings III L.P. 396,398 28.8750 396,398 28.8750 11,445,992
2013-12-17 SEAS Blackstone Holdings III L.P. 603,734 28.8750 603,734 28.8750 17,432,819
2013-12-17 SEAS Blackstone Holdings III L.P. 661,158 28.8750 661,158 28.8750 19,090,937
2013-12-17 SEAS Blackstone Holdings III L.P. 220,386 28.8750 220,386 28.8750 6,363,646
2013-04-24 SEAS Blackstone Holdings III L.P. 15,550,664 25.3800 15,550,664 25.3800 394,675,852
2013-04-24 SEAS Blackstone Holdings III L.P. 485,394 25.3800 485,394 25.3800 12,319,300
2013-04-24 SEAS Blackstone Holdings III L.P. 545,910 25.3800 545,910 25.3800 13,855,196
2013-04-24 SEAS Blackstone Holdings III L.P. 498,058 25.3800 498,058 25.3800 12,640,712
2013-04-24 SEAS Blackstone Holdings III L.P. 178,931 25.3800 178,931 25.3800 4,541,269
2013-04-24 SEAS Blackstone Holdings III L.P. 560,746 25.3800 560,746 25.3800 14,231,733
2013-04-24 SEAS Blackstone Holdings III L.P. 438,240 25.3800 438,240 25.3800 11,122,531
2013-04-24 SEAS Blackstone Holdings III L.P. 667,462 25.3800 667,462 25.3800 16,940,186
2013-04-24 SEAS Blackstone Holdings III L.P. 730,946 25.3800 730,946 25.3800 18,551,409
2013-04-24 SEAS Blackstone Holdings III L.P. 243,649 25.3800 243,649 25.3800 6,183,812

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

PRKS / United Parks & Resorts Inc. Insider Trades
PTEN / Patterson-UTI Energy, Inc.内部人士买入 - 短期收益分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士买入的盈利情况。这种分析有助于了解内部人士是否持续产生异常的回报,以及是否值得跟踪。该分析基于每笔交易后一年的情况,结果仅为理论值

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最高利润的
天数
达到最高利润时的
价格
最高
利润($)
最高回报率(%)
当前未知该内部人士进行过任何未预先计划的公开市场交易。

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

PTEN / Patterson-UTI Energy, Inc. Insider Trades
PTEN / Patterson-UTI Energy, Inc.内部人士卖出 - 短期亏损分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士卖出所达成的短期亏损规避。如果存在持续的亏损规避模式,可能表明未来的内部人士卖出交易预示着价格的下跌。该分析基于每笔交易后一年的情况,

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最低利润的
天数
达到最低利润时的
价格
避免的
最高损失金额($)
避免的
最高损失率($)
当前未知该内部人士进行过任何未预先计划的公开市场交易。

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

PTEN / Patterson-UTI Energy, Inc. Insider Trades
RUN / Sunrun Inc.内部人士买入 - 短期收益分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士买入的盈利情况。这种分析有助于了解内部人士是否持续产生异常的回报,以及是否值得跟踪。该分析基于每笔交易后一年的情况,结果仅为理论值

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最高利润的
天数
达到最高利润时的
价格
最高
利润($)
最高回报率(%)
当前未知该内部人士进行过任何未预先计划的公开市场交易。

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

RUN / Sunrun Inc. Insider Trades
RUN / Sunrun Inc.内部人士卖出 - 短期亏损分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士卖出所达成的短期亏损规避。如果存在持续的亏损规避模式,可能表明未来的内部人士卖出交易预示着价格的下跌。该分析基于每笔交易后一年的情况,

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最低利润的
天数
达到最低利润时的
价格
避免的
最高损失金额($)
避免的
最高损失率($)
2020-10-12 RUN Blackstone Holdings III L.P. 6,024,784 60.2500 6,024,784 60.2500 362,993,236 213 39.45 -125,315,507 -34.52
2020-10-12 RUN Blackstone Holdings III L.P. 1,935,494 60.2500 1,935,494 60.2500 116,613,514
2020-10-12 RUN Blackstone Holdings III L.P. 3,050 60.2500 3,050 60.2500 183,762
2020-10-12 RUN Blackstone Holdings III L.P. 36,672 60.2500 36,672 60.2500 2,209,488

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

RUN / Sunrun Inc. Insider Trades
SD / SandRidge Energy, Inc.内部人士买入 - 短期收益分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士买入的盈利情况。这种分析有助于了解内部人士是否持续产生异常的回报,以及是否值得跟踪。该分析基于每笔交易后一年的情况,结果仅为理论值

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最高利润的
天数
达到最高利润时的
价格
最高
利润($)
最高回报率(%)
当前未知该内部人士进行过任何未预先计划的公开市场交易。

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

SD / SandRidge Energy, Inc. Insider Trades
SD / SandRidge Energy, Inc.内部人士卖出 - 短期亏损分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士卖出所达成的短期亏损规避。如果存在持续的亏损规避模式,可能表明未来的内部人士卖出交易预示着价格的下跌。该分析基于每笔交易后一年的情况,

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最低利润的
天数
达到最低利润时的
价格
避免的
最高损失金额($)
避免的
最高损失率($)
当前未知该内部人士进行过任何未预先计划的公开市场交易。

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

SD / SandRidge Energy, Inc. Insider Trades
SN / SharkNinja, Inc.内部人士买入 - 短期收益分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士买入的盈利情况。这种分析有助于了解内部人士是否持续产生异常的回报,以及是否值得跟踪。该分析基于每笔交易后一年的情况,结果仅为理论值

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最高利润的
天数
达到最高利润时的
价格
最高
利润($)
最高回报率(%)
当前未知该内部人士进行过任何未预先计划的公开市场交易。

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

SN / SharkNinja, Inc. Insider Trades
SN / SharkNinja, Inc.内部人士卖出 - 短期亏损分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士卖出所达成的短期亏损规避。如果存在持续的亏损规避模式,可能表明未来的内部人士卖出交易预示着价格的下跌。该分析基于每笔交易后一年的情况,

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最低利润的
天数
达到最低利润时的
价格
避免的
最高损失金额($)
避免的
最高损失率($)
当前未知该内部人士进行过任何未预先计划的公开市场交易。

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

SN / SharkNinja, Inc. Insider Trades
TASK / TaskUs, Inc.内部人士买入 - 短期收益分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士买入的盈利情况。这种分析有助于了解内部人士是否持续产生异常的回报,以及是否值得跟踪。该分析基于每笔交易后一年的情况,结果仅为理论值

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最高利润的
天数
达到最高利润时的
价格
最高
利润($)
最高回报率(%)
当前未知该内部人士进行过任何未预先计划的公开市场交易。

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

TASK / TaskUs, Inc. Insider Trades
TASK / TaskUs, Inc.内部人士卖出 - 短期亏损分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士卖出所达成的短期亏损规避。如果存在持续的亏损规避模式,可能表明未来的内部人士卖出交易预示着价格的下跌。该分析基于每笔交易后一年的情况,

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最低利润的
天数
达到最低利润时的
价格
避免的
最高损失金额($)
避免的
最高损失率($)
当前未知该内部人士进行过任何未预先计划的公开市场交易。

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

TASK / TaskUs, Inc. Insider Trades
TGE / The Generation Essentials Group内部人士买入 - 短期收益分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士买入的盈利情况。这种分析有助于了解内部人士是否持续产生异常的回报,以及是否值得跟踪。该分析基于每笔交易后一年的情况,结果仅为理论值

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最高利润的
天数
达到最高利润时的
价格
最高
利润($)
最高回报率(%)
当前未知该内部人士进行过任何未预先计划的公开市场交易。

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

TGE / The Generation Essentials Group Insider Trades
TGE / The Generation Essentials Group内部人士卖出 - 短期亏损分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士卖出所达成的短期亏损规避。如果存在持续的亏损规避模式,可能表明未来的内部人士卖出交易预示着价格的下跌。该分析基于每笔交易后一年的情况,

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最低利润的
天数
达到最低利润时的
价格
避免的
最高损失金额($)
避免的
最高损失率($)
当前未知该内部人士进行过任何未预先计划的公开市场交易。

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

TGE / The Generation Essentials Group Insider Trades
TRML / Tourmaline Bio, Inc.内部人士买入 - 短期收益分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士买入的盈利情况。这种分析有助于了解内部人士是否持续产生异常的回报,以及是否值得跟踪。该分析基于每笔交易后一年的情况,结果仅为理论值

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最高利润的
天数
达到最高利润时的
价格
最高
利润($)
最高回报率(%)
2021-05-11 TALS Clarus Lifesciences III, L.P. 15,918 17.0000 15,918 17.0000 270,606 27 18.61 25,628 9.47
2021-05-11 TALS Clarus Lifesciences III, L.P. 3,611 17.0000 3,611 17.0000 61,387
2021-05-11 TALS Clarus Lifesciences III, L.P. 1,444 17.0000 1,444 17.0000 24,548
2021-05-11 TALS Clarus Lifesciences III, L.P. 2,917 17.0000 2,917 17.0000 49,589
2021-05-11 TALS Clarus Lifesciences III, L.P. 1,902 17.0000 1,902 17.0000 32,334
2021-05-11 TALS Clarus Lifesciences III, L.P. 3,507 17.0000 3,507 17.0000 59,619
2021-05-11 TALS Clarus Lifesciences III, L.P. 701 17.0000 701 17.0000 11,917

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

TRML / Tourmaline Bio, Inc. Insider Trades
TRML / Tourmaline Bio, Inc.内部人士卖出 - 短期亏损分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士卖出所达成的短期亏损规避。如果存在持续的亏损规避模式,可能表明未来的内部人士卖出交易预示着价格的下跌。该分析基于每笔交易后一年的情况,

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最低利润的
天数
达到最低利润时的
价格
避免的
最高损失金额($)
避免的
最高损失率($)
当前未知该内部人士进行过任何未预先计划的公开市场交易。

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

TRML / Tourmaline Bio, Inc. Insider Trades
TW / Tradeweb Markets Inc.内部人士买入 - 短期收益分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士买入的盈利情况。这种分析有助于了解内部人士是否持续产生异常的回报,以及是否值得跟踪。该分析基于每笔交易后一年的情况,结果仅为理论值

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最高利润的
天数
达到最高利润时的
价格
最高
利润($)
最高回报率(%)
当前未知该内部人士进行过任何未预先计划的公开市场交易。

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

TW / Tradeweb Markets Inc. Insider Trades
TW / Tradeweb Markets Inc.内部人士卖出 - 短期亏损分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士卖出所达成的短期亏损规避。如果存在持续的亏损规避模式,可能表明未来的内部人士卖出交易预示着价格的下跌。该分析基于每笔交易后一年的情况,

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最低利润的
天数
达到最低利润时的
价格
避免的
最高损失金额($)
避免的
最高损失率($)
当前未知该内部人士进行过任何未预先计划的公开市场交易。

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

TW / Tradeweb Markets Inc. Insider Trades
UAN / CVR Partners, LP - Limited Partnership内部人士买入 - 短期收益分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士买入的盈利情况。这种分析有助于了解内部人士是否持续产生异常的回报,以及是否值得跟踪。该分析基于每笔交易后一年的情况,结果仅为理论值

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最高利润的
天数
达到最高利润时的
价格
最高
利润($)
最高回报率(%)
当前未知该内部人士进行过任何未预先计划的公开市场交易。

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

UAN / CVR Partners, LP - Limited Partnership Insider Trades
UAN / CVR Partners, LP - Limited Partnership内部人士卖出 - 短期亏损分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士卖出所达成的短期亏损规避。如果存在持续的亏损规避模式,可能表明未来的内部人士卖出交易预示着价格的下跌。该分析基于每笔交易后一年的情况,

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最低利润的
天数
达到最低利润时的
价格
避免的
最高损失金额($)
避免的
最高损失率($)
2017-02-13 UAN Blackstone Holdings I L.P. 531,575 6.1000 53,158 61.0000 3,242,608 198 26 -1,860,525 -57.38
2017-02-13 UAN Blackstone Holdings I L.P. 389,493 6.1000 38,949 61.0000 2,375,907
2017-02-13 UAN Blackstone Holdings I L.P. 67,932 6.1000 6,793 61.0000 414,385
2017-02-09 UAN Blackstone Holdings I L.P. 1,073,031 6.1000 107,303 61.0000 6,545,489
2017-02-09 UAN Blackstone Holdings I L.P. 786,161 6.1000 78,616 61.0000 4,795,582
2017-02-09 UAN Blackstone Holdings I L.P. 140,808 6.1000 14,081 61.0000 858,929
2017-02-09 UAN Blackstone Holdings I L.P. 6,547 6.2000 655 62.0000 40,591
2017-02-09 UAN Blackstone Holdings I L.P. 4,796 6.2000 480 62.0000 29,735
2017-02-09 UAN Blackstone Holdings I L.P. 859 6.2000 86 62.0000 5,326
2017-02-01 UAN Blackstone Holdings I L.P. 1,073,031 6.3511 107,303 63.5110 6,814,927
2017-02-01 UAN Blackstone Holdings I L.P. 786,161 6.3511 78,616 63.5110 4,992,987
2017-02-01 UAN Blackstone Holdings I L.P. 140,808 6.3511 14,081 63.5110 894,286
2017-01-31 UAN Blackstone Holdings I L.P. 8,054 6.4092 805 64.0920 51,620
2017-01-31 UAN Blackstone Holdings I L.P. 5,901 6.4092 590 64.0920 37,821
2017-01-31 UAN Blackstone Holdings I L.P. 1,045 6.4092 104 64.0920 6,698
2017-01-27 UAN Blackstone Holdings I L.P. 5,289 6.5260 529 65.2600 34,516
2017-01-27 UAN Blackstone Holdings I L.P. 3,876 6.5260 388 65.2600 25,295
2017-01-27 UAN Blackstone Holdings I L.P. 6,940 6.5260 694 65.2600 45,290
2017-01-26 UAN Blackstone Holdings I L.P. 45,516 6.4956 4,552 64.9560 295,654
2017-01-26 UAN Blackstone Holdings I L.P. 33,347 6.4956 3,335 64.9560 216,609
2017-01-26 UAN Blackstone Holdings I L.P. 5,972 6.4956 597 64.9560 38,792
2017-01-25 UAN Blackstone Holdings I L.P. 23,784 6.7982 2,378 67.9820 161,688
2017-01-25 UAN Blackstone Holdings I L.P. 17,425 6.7982 1,742 67.9820 118,459
2017-01-25 UAN Blackstone Holdings I L.P. 3,122 6.7982 312 67.9820 21,224
2017-01-24 UAN Blackstone Holdings I L.P. 48,286 6.7315 4,829 67.3150 325,037
2017-01-24 UAN Blackstone Holdings I L.P. 35,377 6.7315 3,538 67.3150 238,140
2017-01-24 UAN Blackstone Holdings I L.P. 6,337 6.7315 634 67.3150 42,658
2017-01-23 UAN Blackstone Holdings I L.P. 68,584 6.4212 6,858 64.2120 440,392
2017-01-23 UAN Blackstone Holdings I L.P. 35,125 6.4212 3,512 64.2120 225,545
2017-01-23 UAN Blackstone Holdings I L.P. 6,291 6.4212 629 64.2120 40,396
2017-01-20 UAN Blackstone Holdings I L.P. 78,295 6.4026 7,830 64.0260 501,292
2017-01-20 UAN Blackstone Holdings I L.P. 57,081 6.4026 5,708 64.0260 365,467
2017-01-20 UAN Blackstone Holdings I L.P. 10,223 6.4026 1,022 64.0260 65,454
2017-01-19 UAN Blackstone Holdings I L.P. 29,254 6.2715 2,925 62.7150 183,466
2017-01-19 UAN Blackstone Holdings I L.P. 21,328 6.2715 2,133 62.7150 133,759
2017-01-19 UAN Blackstone Holdings I L.P. 3,819 6.2715 382 62.7150 23,951
2017-01-18 UAN Blackstone Holdings I L.P. 53,781 6.5410 5,378 65.4100 351,782
2017-01-18 UAN Blackstone Holdings I L.P. 39,198 6.5410 3,920 65.4100 256,394
2017-01-18 UAN Blackstone Holdings I L.P. 7,021 6.5410 702 65.4100 45,924
2017-01-17 UAN Blackstone Holdings I L.P. 395,890 6.4600 39,589 64.6000 2,557,449
2017-01-17 UAN Blackstone Holdings I L.P. 167,409 6.4600 16,741 64.6000 1,081,462
2017-01-17 UAN Blackstone Holdings I L.P. 51,701 6.4600 5,170 64.6000 333,988
2017-01-12 UAN Blackstone Holdings I L.P. 17,194 6.3500 1,719 63.5000 109,182
2017-01-12 UAN Blackstone Holdings I L.P. 12,097 6.3500 1,210 63.5000 76,816
2017-01-12 UAN Blackstone Holdings I L.P. 2,245 6.3500 224 63.5000 14,256
2017-01-11 UAN Blackstone Holdings I L.P. 22,195 6.3741 2,220 63.7410 141,473
2017-01-11 UAN Blackstone Holdings I L.P. 15,615 6.3741 1,562 63.7410 99,532
2017-01-11 UAN Blackstone Holdings I L.P. 2,898 6.3741 290 63.7410 18,472
2016-12-12 UAN Blackstone Holdings I L.P. 29,351 5.6153 2,935 56.1530 164,815
2016-12-12 UAN Blackstone Holdings I L.P. 20,649 5.6153 2,065 56.1530 115,950
2016-12-09 UAN Blackstone Holdings I L.P. 29,351 5.7517 2,935 57.5170 168,818
2016-12-09 UAN Blackstone Holdings I L.P. 20,649 5.7517 2,065 57.5170 118,767

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

UAN / CVR Partners, LP - Limited Partnership Insider Trades
VNOM / Viper Energy, Inc.内部人士买入 - 短期收益分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士买入的盈利情况。这种分析有助于了解内部人士是否持续产生异常的回报,以及是否值得跟踪。该分析基于每笔交易后一年的情况,结果仅为理论值

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最高利润的
天数
达到最高利润时的
价格
最高
利润($)
最高回报率(%)
当前未知该内部人士进行过任何未预先计划的公开市场交易。

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

VNOM / Viper Energy, Inc. Insider Trades
VNOM / Viper Energy, Inc.内部人士卖出 - 短期亏损分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士卖出所达成的短期亏损规避。如果存在持续的亏损规避模式,可能表明未来的内部人士卖出交易预示着价格的下跌。该分析基于每笔交易后一年的情况,

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最低利润的
天数
达到最低利润时的
价格
避免的
最高损失金额($)
避免的
最高损失率($)
2023-04-18 VNOM Blackstone Holdings III L.P. 110,400 30.4349 110,400 30.4349 3,360,013 59 24.8600 -615,468 -18.32
2023-04-18 VNOM Blackstone Holdings III L.P. 1,700,000 30.0000 1,700,000 30.0000 51,000,000
2023-04-17 VNOM Blackstone Holdings III L.P. 180,000 30.6264 180,000 30.6264 5,512,752
2023-04-14 VNOM Blackstone Holdings III L.P. 91,100 30.5274 91,100 30.5274 2,781,046
2023-04-13 VNOM Blackstone Holdings III L.P. 656,381 30.6332 656,381 30.6332 20,107,050
2023-04-12 VNOM Blackstone Holdings III L.P. 40,000 30.5788 40,000 30.5788 1,223,152
2023-04-11 VNOM Blackstone Holdings III L.P. 28,000 30.4228 28,000 30.4228 851,838
2023-04-10 VNOM Blackstone Holdings III L.P. 34,000 30.1476 34,000 30.1476 1,025,018
2023-01-27 VNOM Blackstone Holdings III L.P. 2,000 33.0471 2,000 33.0471 66,094
2023-01-26 VNOM Blackstone Holdings III L.P. 205,500 33.0022 205,500 33.0022 6,781,952
2022-11-15 VNOM Blackstone Holdings III L.P. 85,000 33.4468 85,000 33.4468 2,842,978
2022-11-14 VNOM Blackstone Holdings III L.P. 128,200 33.8313 128,200 33.8313 4,337,173
2022-11-08 VNOM Blackstone Holdings III L.P. 32,072 35.5228 32,072 35.5228 1,139,287
2022-11-07 VNOM Blackstone Holdings III L.P. 177,227 35.4714 177,227 35.4714 6,286,490
2022-11-07 VNOM Blackstone Holdings III L.P. 2,773 35.8099 2,773 35.8099 99,301
2022-11-04 VNOM Blackstone Holdings III L.P. 205,000 34.3648 205,000 34.3648 7,044,784
2022-11-03 VNOM Blackstone Holdings III L.P. 77,130 33.8559 77,130 33.8559 2,611,306
2022-11-03 VNOM Blackstone Holdings III L.P. 262,870 34.3280 262,870 34.3280 9,023,801
2022-10-31 VNOM Blackstone Holdings III L.P. 65,000 33.4234 65,000 33.4234 2,172,521
2022-10-28 VNOM Blackstone Holdings III L.P. 17,846 33.1253 17,846 33.1253 591,154
2022-10-28 VNOM Blackstone Holdings III L.P. 30,000 33.1463 30,000 33.1463 994,389
2022-10-27 VNOM Blackstone Holdings III L.P. 59,399 33.6065 59,399 33.6065 1,996,192
2022-10-27 VNOM Blackstone Holdings III L.P. 6,601 34.1147 6,601 34.1147 225,191
2022-10-26 VNOM Blackstone Holdings III L.P. 85,000 33.6853 85,000 33.6853 2,863,250
2022-10-25 VNOM Blackstone Holdings III L.P. 15,000 33.0401 15,000 33.0401 495,602
2022-10-24 VNOM Blackstone Holdings III L.P. 45,000 33.0713 45,000 33.0713 1,488,208
2022-10-21 VNOM Blackstone Holdings III L.P. 47,000 33.0012 47,000 33.0012 1,551,056
2022-10-20 VNOM Blackstone Holdings III L.P. 104,600 32.6484 104,600 32.6484 3,415,023
2022-10-11 VNOM Blackstone Holdings III L.P. 31,500 32.5709 31,500 32.5709 1,025,983
2022-10-10 VNOM Blackstone Holdings III L.P. 4,744 32.5325 4,744 32.5325 154,334
2022-08-25 VNOM Blackstone Holdings III L.P. 7,200 32.6835 7,200 32.6835 235,321
2022-08-24 VNOM Blackstone Holdings III L.P. 28,993 32.6291 28,993 32.6291 946,015
2022-08-23 VNOM Blackstone Holdings III L.P. 36,321 32.8405 36,321 32.8405 1,192,800
2022-08-23 VNOM Blackstone Holdings III L.P. 5,179 33.6572 5,179 33.6572 174,311
2022-06-08 VNOM Blackstone Holdings III L.P. 50,000 35.3872 50,000 35.3872 1,769,360
2022-06-07 VNOM Blackstone Holdings III L.P. 80,000 35.3191 80,000 35.3191 2,825,528
2022-06-06 VNOM Blackstone Holdings III L.P. 6,692 35.0475 6,692 35.0475 234,538
2022-06-03 VNOM Blackstone Holdings III L.P. 75,000 34.4070 75,000 34.4070 2,580,525
2022-06-02 VNOM Blackstone Holdings III L.P. 9,550 34.0154 9,550 34.0154 324,847
2022-05-31 VNOM Blackstone Holdings III L.P. 64,253 33.2122 64,253 33.2122 2,133,983
2022-04-21 VNOM Blackstone Holdings III L.P. 5,643 32.1321 5,643 32.1321 181,321
2022-04-20 VNOM Blackstone Holdings III L.P. 33,000 31.9606 33,000 31.9606 1,054,700
2022-04-19 VNOM Blackstone Holdings III L.P. 20,000 31.3749 20,000 31.3749 627,498
2022-04-18 VNOM Blackstone Holdings III L.P. 38,000 31.8450 38,000 31.8450 1,210,110
2022-04-14 VNOM Blackstone Holdings III L.P. 32,000 31.5536 32,000 31.5536 1,009,715
2022-04-13 VNOM Blackstone Holdings III L.P. 32,000 31.2395 32,000 31.2395 999,664
2022-04-12 VNOM Blackstone Holdings III L.P. 2,168 31.0945 2,168 31.0945 67,413
2022-04-08 VNOM Blackstone Holdings III L.P. 40,000 31.3797 40,000 31.3797 1,255,188
2022-04-07 VNOM Blackstone Holdings III L.P. 15,000 31.2432 15,000 31.2432 468,648
2022-04-06 VNOM Blackstone Holdings III L.P. 75,000 31.1889 75,000 31.1889 2,339,168
2022-04-05 VNOM Blackstone Holdings III L.P. 48,000 30.7955 48,000 30.7955 1,478,184
2022-04-01 VNOM Blackstone Holdings III L.P. 6,200 30.0607 6,200 30.0607 186,376
2022-03-25 VNOM Blackstone Holdings III L.P. 45,000 31.3061 45,000 31.3061 1,408,774
2022-03-21 VNOM Blackstone Holdings III L.P. 16,496 30.0732 16,496 30.0732 496,088
2022-03-17 VNOM Blackstone Holdings III L.P. 20,000 29.6701 20,000 29.6701 593,402
2022-03-08 VNOM Blackstone Holdings III L.P. 13,139 30.0668 13,139 30.0668 395,048
2022-03-07 VNOM Blackstone Holdings III L.P. 21,363 30.0895 21,363 30.0895 642,802
2022-03-07 VNOM Blackstone Holdings III L.P. 1,230 30.6878 1,230 30.6878 37,746
2022-03-04 VNOM Blackstone Holdings III L.P. 125,336 29.9209 125,336 29.9209 3,750,166
2022-03-03 VNOM Blackstone Holdings III L.P. 8,664 29.5488 8,664 29.5488 256,011
2022-03-02 VNOM Blackstone Holdings III L.P. 80,000 29.8935 80,000 29.8935 2,391,480
2022-03-01 VNOM Blackstone Holdings III L.P. 65,000 29.6971 65,000 29.6971 1,930,312
2022-02-28 VNOM Blackstone Holdings III L.P. 190,798 29.3623 190,798 29.3623 5,602,268
2022-02-28 VNOM Blackstone Holdings III L.P. 19,202 29.5692 19,202 29.5692 567,788
2022-02-25 VNOM Blackstone Holdings III L.P. 104,400 28.5174 104,400 28.5174 2,977,217
2022-02-25 VNOM Blackstone Holdings III L.P. 600 28.0383 600 28.0383 16,823
2022-02-24 VNOM Blackstone Holdings III L.P. 123,000 28.3793 123,000 28.3793 3,490,654
2022-01-09 VNOM Blackstone Holdings III L.P. 1,500,000 24.8800 1,500,000 24.8800 37,320,000

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

VNOM / Viper Energy, Inc. Insider Trades
WGSWW / GeneDx Holdings Corp. - Equity Warrant内部人士买入 - 短期收益分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士买入的盈利情况。这种分析有助于了解内部人士是否持续产生异常的回报,以及是否值得跟踪。该分析基于每笔交易后一年的情况,结果仅为理论值

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最高利润的
天数
达到最高利润时的
价格
最高
利润($)
最高回报率(%)
2022-04-29 SMFR Blackstone Tactical Opportunities Associates III - NQ L.P. 2,434,863 4.0000 2,434,863 4.0000 9,739,452 7 2.4500 -3,774,038 -38.75
2022-04-29 SMFR Blackstone Tactical Opportunities Associates III - NQ L.P. 50,402 4.0000 50,402 4.0000 201,608
2022-04-29 SMFR Blackstone Tactical Opportunities Associates III - NQ L.P. 14,735 4.0000 14,735 4.0000 58,940

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

WGSWW / GeneDx Holdings Corp. - Equity Warrant Insider Trades
WGSWW / GeneDx Holdings Corp. - Equity Warrant内部人士卖出 - 短期亏损分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士卖出所达成的短期亏损规避。如果存在持续的亏损规避模式,可能表明未来的内部人士卖出交易预示着价格的下跌。该分析基于每笔交易后一年的情况,

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最低利润的
天数
达到最低利润时的
价格
避免的
最高损失金额($)
避免的
最高损失率($)
当前未知该内部人士进行过任何未预先计划的公开市场交易。

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

WGSWW / GeneDx Holdings Corp. - Equity Warrant Insider Trades
WLKP / Westlake Chemical Partners LP - Limited Partnership内部人士买入 - 短期收益分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士买入的盈利情况。这种分析有助于了解内部人士是否持续产生异常的回报,以及是否值得跟踪。该分析基于每笔交易后一年的情况,结果仅为理论值

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最高利润的
天数
达到最高利润时的
价格
最高
利润($)
最高回报率(%)
当前未知该内部人士进行过任何未预先计划的公开市场交易。

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

WLKP / Westlake Chemical Partners LP - Limited Partnership Insider Trades
WLKP / Westlake Chemical Partners LP - Limited Partnership内部人士卖出 - 短期亏损分析

在这一部分,我们分析了在 ANNX / Annexon, Inc. 中进行的每笔非计划的公开市场内部人士卖出所达成的短期亏损规避。如果存在持续的亏损规避模式,可能表明未来的内部人士卖出交易预示着价格的下跌。该分析基于每笔交易后一年的情况,

以下表格显示了最近的自动交易计划之外的公开市场买入。

交易日期 股票代码 内部人士 报告
股数
报告
价格
经调整
股数
经调整
价格
成本基础 达到最低利润的
天数
达到最低利润时的
价格
避免的
最高损失金额($)
避免的
最高损失率($)
当前未知该内部人士进行过任何未预先计划的公开市场交易。

经调整价格 已按拆股调整。经调整股数 已按拆股调整。

WLKP / Westlake Chemical Partners LP - Limited Partnership Insider Trades
内幕交易历史

该表格显示了由 Blackstone Group Management L.L.C. 进行的所有内幕交易的完整列表,这些交易已向美国证券交易委员会(SEC)披露。

备案日期 交易日期 表格 股票代码 证券 代码 10b5-1 股数 剩余股数 %
变化
每股
股价
交易
金额
剩余
金额
2025-08-22 2025-08-21 4 NONE Blackstone Private Real Estate Credit & Income Fund
Common Shares of Beneficial Interest
P - Purchase 1,176,471 2,970,014 65.59 25.50 30,000,000 75,735,353
2025-08-22 2025-08-21 4 NONE Blackstone Private Real Estate Credit & Income Fund
Common Shares of Beneficial Interest
P - Purchase 1,960,784 6,139,555 46.92 25.50 50,000,000 156,558,657
2025-08-21 2025-08-19 4 STR Sitio Royalties Corp.
Class C Common Stock
J - Other -11,400,218 0 -100.00
2025-08-21 2025-08-19 4 STR Sitio Royalties Corp.
Class C Common Stock
J - Other -8,637,727 0 -100.00
2025-08-15 2025-08-13 4 BMBL Bumble Inc.
Class A Common Stock
S - Sale -2,412,589 5,404,511 -30.86 6.26 -15,102,807 33,832,239
2025-08-15 2025-08-13 4 BMBL Bumble Inc.
Class A Common Stock
S - Sale -904,128 2,025,363 -30.86 6.26 -5,659,841 12,678,772
2025-08-15 2025-08-13 4 BMBL Bumble Inc.
Class A Common Stock
S - Sale -5,569,296 12,475,943 -30.86 6.26 -34,863,793 78,099,403
2025-08-15 2025-08-13 4 BMBL Bumble Inc.
Class A Common Stock
S - Sale -404,761 906,717 -30.86 6.26 -2,533,804 5,676,048
2025-08-15 2025-08-13 4 BMBL Bumble Inc.
Class A Common Stock
S - Sale -14,415 0 -100.00 6.26 -90,238
2025-08-15 2025-08-13 4 BMBL Bumble Inc.
Class A Common Stock
S - Sale -66,010 0 -100.00 6.26 -413,223
2025-08-15 2025-08-13 4 BMBL Bumble Inc.
Class A Common Stock
S - Sale -7,318,685 8,851 -99.88 6.26 -45,814,968 55,407
2025-08-15 2025-08-13 4 BMBL Bumble Inc.
Class A Common Stock
C - Conversion 14,415 14,415
2025-08-15 2025-08-13 4 BMBL Bumble Inc.
Class A Common Stock
C - Conversion 66,010 66,010
2025-08-15 2025-08-13 4 BMBL Bumble Inc.
Class A Common Stock
C - Conversion 7,314,734 7,327,536 57,137.43
2025-07-18 2025-07-18 4 NONE Blackstone Private Real Estate Credit & Income Fund
Common Shares of Beneficial Interest
P - Purchase 1,189,532 4,178,771 39.79 25.22 30,000,000 105,388,601
2025-06-27 3 NONE Blackstone Private Real Estate Credit & Income Fund
Common Shares of Beneficial Interest
2,989,239
2025-06-27 3 NONE Blackstone Private Real Estate Credit & Income Fund
Common Shares of Beneficial Interest
1,793,543
2025-06-11 2025-06-09 4 LOAR Loar Holdings Inc.
Common Stock, par value $0.01 per share
S - Sale -81,621 209,042 -28.08 82.61 -6,742,711 17,268,960
2025-06-11 2025-06-09 4 LOAR Loar Holdings Inc.
Common Stock, par value $0.01 per share
S - Sale -49,134 125,840 -28.08 82.61 -4,058,960 10,395,642
2025-06-11 2025-06-09 4 LOAR Loar Holdings Inc.
Common Stock, par value $0.01 per share
S - Sale -113,327 290,246 -28.08 82.61 -9,361,943 23,977,222
2025-06-11 2025-06-09 4 LOAR Loar Holdings Inc.
Common Stock, par value $0.01 per share
S - Sale -99,858 255,750 -28.08 82.61 -8,249,269 21,127,508
2025-06-11 2025-06-09 4 LOAR Loar Holdings Inc.
Common Stock, par value $0.01 per share
S - Sale -2,656,060 6,802,527 -28.08 82.61 -219,417,117 561,956,755
2025-05-28 2025-05-23 4 TASK TaskUs, Inc.
Class A Common Stock
C - Conversion 10,094,674 10,094,674
2025-05-20 2025-05-19 4 LOAR Loar Holdings Inc.
Common Stock, par value $0.01 per share
S - Sale -6,382 290,663 -2.15 80.91 -516,353 23,516,875
2025-05-20 2025-05-19 4 LOAR Loar Holdings Inc.
Common Stock, par value $0.01 per share
S - Sale -3,842 174,974 -2.15 80.91 -310,847 14,156,744
2025-05-20 2025-05-19 4 LOAR Loar Holdings Inc.
Common Stock, par value $0.01 per share
S - Sale -8,861 403,573 -2.15 80.91 -716,923 32,652,163
2025-05-20 2025-05-19 4 LOAR Loar Holdings Inc.
Common Stock, par value $0.01 per share
S - Sale -7,808 355,608 -2.15 80.91 -631,727 28,771,425
2025-05-20 2025-05-19 4 LOAR Loar Holdings Inc.
Common Stock, par value $0.01 per share
S - Sale -207,670 9,458,587 -2.15 80.91 -16,802,102 765,272,519
2025-05-20 2025-05-16 4 LOAR Loar Holdings Inc.
Common Stock, par value $0.01 per share
S - Sale -42,388 297,045 -12.49 80.91 -3,429,516 24,033,228
2025-05-20 2025-05-16 4 LOAR Loar Holdings Inc.
Common Stock, par value $0.01 per share
S - Sale -25,517 178,816 -12.49 80.91 -2,064,522 14,467,591
2025-05-20 2025-05-16 4 LOAR Loar Holdings Inc.
Common Stock, par value $0.01 per share
S - Sale -58,854 412,434 -12.49 80.91 -4,761,742 33,369,086
2025-05-20 2025-05-16 4 LOAR Loar Holdings Inc.
Common Stock, par value $0.01 per share
S - Sale -51,860 363,416 -12.49 80.91 -4,195,873 29,403,153
2025-05-20 2025-05-16 4 LOAR Loar Holdings Inc.
Common Stock, par value $0.01 per share
S - Sale -1,379,375 9,666,257 -12.49 80.91 -111,602,059 782,074,621
2025-05-02 2025-05-01 4 BMACX Blackstone Private Multi-Asset Credit & Income Fund
Class I Common Shares of Beneficial Interest
P - Purchase 1,660,000 1,666,667 24,900.00 15.00 24,900,000 25,000,000
2025-05-02 2025-05-01 4 NONE Blackstone Private Real Estate Credit & Income Fund
Common Shares of Beneficial Interest
J - Other -100 0 -100.00
2025-04-18 2025-04-16 4 AMPS Altus Power, Inc.
Class A Common Stock
D - Sale to Issuer -21,116,125 0 -100.00 5.00 -105,580,625
2025-04-15 3 NONE Blackstone Private Real Estate Credit & Income Fund
Common Shares of Beneficial Interest
100
2025-03-10 3 BMACX Blackstone Private Multi-Asset Credit & Income Fund
Class I Common Shares of Beneficial Interest
6,667
2024-12-16 2024-12-12 4 LOAR Loar Holdings Inc.
Common Stock, par value $0.01 per share
S - Sale -9,128 339,433 -2.62 81.18 -740,965 27,553,474
2024-12-16 2024-12-12 4 LOAR Loar Holdings Inc.
Common Stock, par value $0.01 per share
S - Sale -5,495 204,333 -2.62 81.18 -446,057 16,586,731
2024-12-16 2024-12-12 4 LOAR Loar Holdings Inc.
Common Stock, par value $0.01 per share
S - Sale -12,673 471,288 -2.62 81.18 -1,028,731 38,256,803
2024-12-16 2024-12-12 4 LOAR Loar Holdings Inc.
Common Stock, par value $0.01 per share
S - Sale -11,167 415,276 -2.62 81.18 -906,481 33,710,029
2024-12-16 2024-12-12 4 LOAR Loar Holdings Inc.
Common Stock, par value $0.01 per share
S - Sale -297,024 11,045,632 -2.62 81.18 -24,110,923 896,629,178
2024-10-28 2024-10-24 4 KNTK Kinetik Holdings Inc.
Class A Common Stock
C - Conversion 78 1,658,066 0.00
2024-10-28 2024-10-24 4 KNTK Kinetik Holdings Inc.
Class A Common Stock
C - Conversion 481 10,256,208 0.00
2024-08-23 2024-08-21 4 GTES Gates Industrial Corp plc
Ordinary Shares
S - Sale -646,199 451,496 -58.87 16.58 -10,713,979 7,485,804
2024-08-23 2024-08-21 4 GTES Gates Industrial Corp plc
Ordinary Shares
S - Sale -2,804,217 1,959,298 -58.87 16.58 -46,493,918 32,485,161
2024-08-23 2024-08-21 4 GTES Gates Industrial Corp plc
Ordinary Shares
S - Sale -45,521 31,805 -58.87 16.58 -754,738 527,327
2024-08-23 2024-08-21 4 GTES Gates Industrial Corp plc
Ordinary Shares
S - Sale -13,294,543 9,288,859 -58.87 16.58 -220,423,523 154,009,282
2024-08-23 2024-08-21 4 GTES Gates Industrial Corp plc
Ordinary Shares
S - Sale -13,748,723 9,606,196 -58.87 16.58 -227,953,827 159,270,730
2024-05-23 2024-05-21 4 GTES Gates Industrial Corp plc
Ordinary Shares
S - Sale -425,837 1,097,695 -27.95 16.33 -6,953,918 17,925,359
2024-05-23 2024-05-21 4 GTES Gates Industrial Corp plc
Ordinary Shares
S - Sale -1,847,949 4,763,515 -27.95 16.33 -30,177,007 77,788,200
2024-05-23 2024-05-21 4 GTES Gates Industrial Corp plc
Ordinary Shares
S - Sale -29,998 77,326 -27.95 16.33 -489,867 1,262,734
2024-05-23 2024-05-21 4 GTES Gates Industrial Corp plc
Ordinary Shares
S - Sale -8,760,958 22,583,402 -27.95 16.33 -143,066,444 368,786,955
2024-05-23 2024-05-21 4 GTES Gates Industrial Corp plc
Ordinary Shares
S - Sale -9,060,258 23,354,919 -27.95 16.33 -147,954,013 381,385,827
2024-05-10 3 CRBG Corebridge Financial, Inc.
Common stock, par value $0.01 per share
61,962,123
2024-04-29 2024-04-25 4 KNTK Kinetik Holdings Inc.
Class A Common Stock
C - Conversion 78 1,657,988 0.00
2024-04-29 2024-04-25 4 KNTK Kinetik Holdings Inc.
Class A Common Stock
C - Conversion 481 10,255,727 0.00
2024-04-24 3 LOAR Loar Holdings Inc.
Common Stock, par value $0.01 per share
11,342,656
2024-04-24 3 LOAR Loar Holdings Inc.
Common Stock, par value $0.01 per share
426,443
2024-04-24 3 LOAR Loar Holdings Inc.
Common Stock, par value $0.01 per share
483,961
2024-04-24 3 LOAR Loar Holdings Inc.
Common Stock, par value $0.01 per share
209,828
2024-04-24 3 LOAR Loar Holdings Inc.
Common Stock, par value $0.01 per share
348,561
2024-04-03 2024-04-01 4 FOA Finance of America Companies Inc.
Class A Common Stock
J - Other -172,491 24,162,521 -0.71
2024-04-03 2024-04-01 4 FOA Finance of America Companies Inc.
Class A Common Stock
J - Other -2,262 43,228 -4.97
2024-04-03 2024-04-01 4 FOA Finance of America Companies Inc.
Class A Common Stock
C - Conversion 2,262 45,490 5.23
2024-04-03 2024-04-01 4 FOA Finance of America Companies Inc.
Class A Common Stock
J - Other -394,081 7,717,103 -4.86
2024-04-03 2024-04-01 4 FOA Finance of America Companies Inc.
Class A Common Stock
C - Conversion 394,081 8,111,184 5.11
2024-03-12 2024-03-08 4 FOA Finance of America Companies Inc.
Class A Common Stock
J - Other -14,913 24,335,012 -0.06
2024-03-12 2024-03-08 4 FOA Finance of America Companies Inc.
Class A Common Stock
J - Other -196 43,228 -0.45
2024-03-12 2024-03-08 4 FOA Finance of America Companies Inc.
Class A Common Stock
C - Conversion 196 43,424 0.45
2024-03-12 2024-03-08 4 FOA Finance of America Companies Inc.
Class A Common Stock
J - Other -34,071 7,717,103 -0.44
2024-03-12 2024-03-08 4 FOA Finance of America Companies Inc.
Class A Common Stock
C - Conversion 34,071 7,751,174 0.44
2024-03-05 2024-03-03 4 BMBL Bumble Inc.
Class A Common Stock
S - Sale -1,067 12,802 -7.69 11.10 -11,840 142,061
2024-03-05 2024-03-03 4 BMBL Bumble Inc.
Class A Common Stock
S - Sale -651,332 7,817,100 -7.69 11.10 -7,227,701 86,744,795
2024-03-05 2024-03-03 4 BMBL Bumble Inc.
Class A Common Stock
S - Sale -244,089 2,929,491 -7.69 11.10 -2,708,607 32,507,976
2024-03-05 2024-03-03 4 BMBL Bumble Inc.
Class A Common Stock
S - Sale -1,503,554 18,045,239 -7.69 11.10 -16,684,638 200,244,408
2024-03-05 2024-03-03 4 BMBL Bumble Inc.
Class A Common Stock
S - Sale -109,274 1,311,478 -7.69 11.10 -1,212,592 14,553,209
2024-02-21 2024-02-16 4 GTES Gates Industrial Corp plc
Ordinary Shares
S - Sale -513,673 1,523,532 -25.21 12.04 -6,187,191 18,350,943
2024-02-21 2024-02-16 4 GTES Gates Industrial Corp plc
Ordinary Shares
S - Sale -2,229,118 6,611,464 -25.21 12.04 -26,849,726 79,635,084
2024-02-21 2024-02-16 4 GTES Gates Industrial Corp plc
Ordinary Shares
S - Sale -36,186 107,324 -25.21 12.04 -435,860 1,292,718
2024-02-21 2024-02-16 4 GTES Gates Industrial Corp plc
Ordinary Shares
S - Sale -10,568,044 31,344,360 -25.21 12.04 -127,292,090 377,542,816
2024-02-21 2024-02-16 4 GTES Gates Industrial Corp plc
Ordinary Shares
S - Sale -10,929,079 32,415,177 -25.21 12.04 -131,640,757 390,440,807
2023-12-15 2023-12-13 4 GTES Gates Industrial Corp plc
Ordinary Shares
S - Sale -365,003 2,037,205 -15.19 11.15 -4,069,783 22,714,836
2023-12-15 2023-12-13 4 GTES Gates Industrial Corp plc
Ordinary Shares
S - Sale -1,583,956 8,840,582 -15.19 11.15 -17,661,109 98,572,489
2023-12-15 2023-12-13 4 GTES Gates Industrial Corp plc
Ordinary Shares
S - Sale -25,713 143,510 -15.19 11.15 -286,700 1,600,136
2023-12-15 2023-12-13 4 GTES Gates Industrial Corp plc
Ordinary Shares
S - Sale -7,509,392 41,912,404 -15.19 11.15 -83,729,721 467,323,305
2023-12-15 2023-12-13 4 GTES Gates Industrial Corp plc
Ordinary Shares
S - Sale -7,765,936 43,344,256 -15.19 11.15 -86,590,186 483,288,454
2023-12-05 2023-12-03 4 BMBL Bumble Inc.
Class A Common Stock
S - Sale -1,706 13,869 -10.95 13.88 -23,680 192,511
2023-12-05 2023-12-03 4 BMBL Bumble Inc.
Class A Common Stock
S - Sale -1,041,402 8,468,432 -10.95 13.88 -14,455,389 117,547,764
2023-12-05 2023-12-03 4 BMBL Bumble Inc.
Class A Common Stock
S - Sale -390,270 3,173,580 -10.95 13.88 -5,417,221 44,051,512
2023-12-05 2023-12-03 4 BMBL Bumble Inc.
Class A Common Stock
S - Sale -2,404,006 19,548,793 -10.95 13.88 -33,369,286 271,350,931
2023-12-05 2023-12-03 4 BMBL Bumble Inc.
Class A Common Stock
S - Sale -174,717 1,420,752 -10.95 13.88 -2,425,194 19,721,032
2023-11-16 2023-11-14 4 HG Hamilton Insurance Group, Ltd.
Class B Common Stock
S - Sale -53,182 0 -100.00 14.06 -747,872
2023-11-16 2023-11-14 4 HG Hamilton Insurance Group, Ltd.
Class B Common Stock
S - Sale -918,789 0 -100.00 14.06 -12,920,470
2023-11-14 2023-11-09 4 FOA Finance of America Companies Inc.
Class A Common Stock
J - Other -5,965 24,349,925 -0.02
2023-11-14 2023-11-09 4 FOA Finance of America Companies Inc.
Class A Common Stock
J - Other -78 43,228 -0.18
2023-11-14 2023-11-09 4 FOA Finance of America Companies Inc.
Class A Common Stock
C - Conversion 78 43,306 0.18
2023-11-14 2023-11-09 4 FOA Finance of America Companies Inc.
Class A Common Stock
J - Other -13,628 7,717,103 -0.18
2023-11-14 2023-11-09 4 FOA Finance of America Companies Inc.
Class A Common Stock
C - Conversion 13,628 7,730,731 0.18
2023-11-13 2023-11-08 4 KNTK Kinetik Holdings Inc.
Class A Common Stock
C - Conversion 78 1,257,706 0.01
2023-11-13 2023-11-08 4 KNTK Kinetik Holdings Inc.
Class A Common Stock
C - Conversion 481 7,779,738 0.01
2023-11-09 3 HG Hamilton Insurance Group, Ltd.
Class B Common Stock
918,789
2023-11-09 3 HG Hamilton Insurance Group, Ltd.
Class B Common Stock
53,182
2023-08-22 2023-08-22 4 ALIT Alight, Inc. / Delaware
Class A common stock
S - Sale -388,049 43,602 -89.90 7.98 -3,096,631 347,944
2023-08-22 2023-08-22 4 ALIT Alight, Inc. / Delaware
Class A common stock
S - Sale -387,714 23,865,454 -1.60 7.98 -3,093,958 190,446,323
2023-08-22 2023-08-22 4 ALIT Alight, Inc. / Delaware
Class A common stock
S - Sale -6,967,419 431,651 -94.17 7.98 -55,600,004 3,444,575
2023-08-22 2023-08-22 4 ALIT Alight, Inc. / Delaware
Class A common stock
C - Conversion 7,342,042 7,399,070 12,874.45
2023-08-22 2023-08-22 4 ALIT Alight, Inc. / Delaware
Class V common stock
J - Other -7,342,042 23,842,419 -23.54
2023-08-22 2023-08-22 4 ALIT Alight, Inc. / Delaware
Class A common stock
S - Sale -6,961,421 24,253,168 -22.30 7.98 -55,552,140 193,540,281
2023-08-17 3 PTEN PATTERSON UTI ENERGY INC
Common Stock
34,900,000
2023-08-16 2023-08-14 4 GTES Gates Industrial Corp plc
Ordinary Shares
S - Sale -1,618,196 10,424,538 -13.44 11.57 -18,722,528 120,611,905
2023-08-16 2023-08-14 4 GTES Gates Industrial Corp plc
Ordinary Shares
S - Sale -26,268 169,223 -13.44 11.57 -303,921 1,957,910
2023-08-16 2023-08-14 4 GTES Gates Industrial Corp plc
Ordinary Shares
S - Sale -7,671,724 49,421,796 -13.44 11.57 -88,761,847 571,810,180
2023-08-16 2023-08-14 4 GTES Gates Industrial Corp plc
Ordinary Shares
S - Sale -7,933,812 51,110,192 -13.44 11.57 -91,794,205 591,344,921
2023-08-16 2023-08-14 4 APG APi Group Corp
Common Stock
S - Sale -32,004 0 -100.00 27.80 -889,711
2023-08-16 2023-08-14 4 APG APi Group Corp
Common Stock
S - Sale -2,566,605 0 -100.00 27.80 -71,351,619
2023-08-14 2023-08-10 4 FOA Finance of America Companies Inc.
Class A Common Stock
J - Other -30,820 24,355,890 -0.13
2023-08-14 2023-08-10 4 FOA Finance of America Companies Inc.
Class A Common Stock
J - Other -404 43,228 -0.93
2023-08-14 2023-08-10 4 FOA Finance of America Companies Inc.
Class A Common Stock
C - Conversion 404 43,632 0.93
2023-08-14 2023-08-10 4 FOA Finance of America Companies Inc.
Class A Common Stock
J - Other -70,412 7,717,103 -0.90
2023-08-14 2023-08-10 4 FOA Finance of America Companies Inc.
Class A Common Stock
C - Conversion 70,412 7,787,515 0.91
2023-08-02 2023-07-31 4 KNTK Kinetik Holdings Inc.
Class A Common Stock
C - Conversion 442 1,060,094 0.04
2023-08-02 2023-07-31 4 KNTK Kinetik Holdings Inc.
Class A Common Stock
C - Conversion 2,738 6,557,389 0.04
2023-06-16 2023-06-14 4 AMPS Altus Power, Inc.
Class A Common Stock
P - Purchase 45,000 21,116,125 0.21 5.47 246,177 115,517,873
2023-06-15 2023-06-15 4 CVT CVENT HOLDING CORP.
Common Stock
S - Sale -3,000,000 0 -100.00 8.50 -25,500,000
2023-06-12 2023-06-08 4 AMPS Altus Power, Inc.
Class A Common Stock
P - Purchase 57,000 21,071,125 0.27 5.25 299,301 110,642,370
2023-06-08 2023-06-07 4 AMPS Altus Power, Inc.
Class A Common Stock
P - Purchase 224,000 21,014,125 1.08 5.53 1,237,869 116,128,258
2023-06-08 2023-06-06 4 AMPS Altus Power, Inc.
Class A Common Stock
P - Purchase 15,000 20,790,125 0.07 5.17 77,548 107,482,867
2023-05-25 2023-05-23 4 GTES Gates Industrial Corp plc
Ordinary Shares
S - Sale -4,484,950 12,042,734 -27.14 11.40 -51,117,218 137,257,061
2023-05-25 2023-05-23 4 GTES Gates Industrial Corp plc
Ordinary Shares
S - Sale -72,804 195,491 -27.14 11.40 -829,784 2,228,109
2023-05-25 2023-05-23 4 GTES Gates Industrial Corp plc
Ordinary Shares
S - Sale -21,262,740 57,093,520 -27.14 11.40 -242,342,079 650,723,394
2023-05-25 2023-05-23 4 GTES Gates Industrial Corp plc
Ordinary Shares
S - Sale -21,989,140 59,044,004 -27.14 11.40 -250,621,223 672,954,036
2023-05-05 2023-05-03 4 KNTK Kinetik Holdings Inc.
Class A Common Stock
C - Conversion 1,696 824,445 0.21
2023-05-05 2023-05-03 4 KNTK Kinetik Holdings Inc.
Class A Common Stock
C - Conversion 10,498 5,099,743 0.21
2023-04-20 2023-04-18 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -1,700,000 7,002,347 -19.53 30.00 -51,000,000 210,070,410
2023-04-20 2023-04-18 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -110,400 8,702,347 -1.25 30.43 -3,360,013 264,855,061
2023-04-18 2023-04-17 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -180,000 8,812,747 -2.00 30.63 -5,512,752 269,902,715
2023-04-18 2023-04-14 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -91,100 8,992,747 -1.00 30.53 -2,781,046 274,525,185
2023-04-14 2023-04-13 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -656,381 9,083,847 -6.74 30.63 -20,107,050 278,267,302
2023-04-14 2023-04-12 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -40,000 9,740,228 -0.41 30.58 -1,223,152 297,844,484
2023-04-12 2023-04-11 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -28,000 9,780,228 -0.29 30.42 -851,838 297,541,920
2023-04-12 2023-04-10 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -34,000 9,808,228 -0.35 30.15 -1,025,018 295,694,534
2023-04-04 2023-04-03 4 FOA Finance of America Companies Inc.
Class A Common Stock
J - Other -340,506 24,386,710 -1.38
2023-04-04 2023-04-03 4 FOA Finance of America Companies Inc.
Class A Common Stock
J - Other -4,466 43,228 -9.36
2023-04-04 2023-04-03 4 FOA Finance of America Companies Inc.
Class A Common Stock
C - Conversion 4,466 47,694 10.33
2023-04-04 2023-04-03 4 FOA Finance of America Companies Inc.
Class A Common Stock
J - Other -777,935 7,717,103 -9.16
2023-04-04 2023-04-03 4 FOA Finance of America Companies Inc.
Class A Common Stock
C - Conversion 777,935 8,495,038 10.08
2023-04-04 2023-03-31 4 FOA Finance of America Companies Inc.
Class A Common Stock
P - Purchase 43,228 43,228 1.38 59,655 59,655
2023-04-04 2023-03-31 4 FOA Finance of America Companies Inc.
Class A Common Stock
P - Purchase 3,109,235 24,727,216 14.38 1.38 4,290,744 34,123,558
2023-04-04 2023-03-31 4 FOA Finance of America Companies Inc.
Class A Common Stock
P - Purchase 7,717,103 7,717,103 1.38 10,649,602 10,649,602
2023-04-04 2023-04-03 4 CQP Cheniere Energy Partners, L.P.
Common Units
J - Other 2,453 123,848 2.02
2023-04-04 2023-04-03 4 CQP Cheniere Energy Partners, L.P.
Common Units
J - Other 6,319 338,242 1.90
2023-04-04 2023-04-03 4 CQP Cheniere Energy Partners, L.P.
Common Units
J - Other -6,004 0 -100.00
2023-04-04 2023-04-03 4 CQP Cheniere Energy Partners, L.P.
Common Units
P - Purchase 6,004 6,004 47.46 284,934 284,934
2023-04-04 2023-04-03 4 CQP Cheniere Energy Partners, L.P.
Common Units
J - Other -2,768 0 -100.00
2023-04-04 2023-04-03 4 CQP Cheniere Energy Partners, L.P.
Common Units
P - Purchase 2,768 2,768 47.46 131,362 131,362
2023-04-04 2023-03-31 4 CQP Cheniere Energy Partners, L.P.
Common Units
J - Other 5,295 121,395 4.56
2023-04-04 2023-03-31 4 CQP Cheniere Energy Partners, L.P.
Common Units
J - Other 13,639 331,923 4.29
2023-04-04 2023-03-31 4 CQP Cheniere Energy Partners, L.P.
Common Units
J - Other -12,959 0 -100.00
2023-04-04 2023-03-31 4 CQP Cheniere Energy Partners, L.P.
Common Units
P - Purchase 12,959 12,959 47.26 612,433 612,433
2023-04-04 2023-03-31 4 CQP Cheniere Energy Partners, L.P.
Common Units
J - Other -5,975 0 -100.00
2023-04-04 2023-03-31 4 CQP Cheniere Energy Partners, L.P.
Common Units
P - Purchase 5,975 5,975 47.26 282,374 282,374
2023-03-31 2023-03-30 4 CQP Cheniere Energy Partners, L.P.
Common Units
J - Other 19,403 116,100 20.07
2023-03-31 2023-03-30 4 CQP Cheniere Energy Partners, L.P.
Common Units
J - Other 49,985 318,284 18.63
2023-03-31 2023-03-30 4 CQP Cheniere Energy Partners, L.P.
Common Units
J - Other -47,490 0 -100.00
2023-03-31 2023-03-30 4 CQP Cheniere Energy Partners, L.P.
Common Units
P - Purchase 47,490 47,490 47.14 2,238,527 2,238,527
2023-03-31 2023-03-30 4 CQP Cheniere Energy Partners, L.P.
Common Units
J - Other -21,898 0 -100.00
2023-03-31 2023-03-30 4 CQP Cheniere Energy Partners, L.P.
Common Units
P - Purchase 21,898 21,898 47.14 1,032,202 1,032,202
2023-03-31 2023-03-29 4 CQP Cheniere Energy Partners, L.P.
Common Units
J - Other 7,573 96,697 8.50
2023-03-31 2023-03-29 4 CQP Cheniere Energy Partners, L.P.
Common Units
J - Other 19,509 268,299 7.84
2023-03-31 2023-03-29 4 CQP Cheniere Energy Partners, L.P.
Common Units
J - Other -18,535 0 -100.00
2023-03-31 2023-03-29 4 CQP Cheniere Energy Partners, L.P.
Common Units
P - Purchase 18,535 18,535 47.11 873,184 873,184
2023-03-31 2023-03-29 4 CQP Cheniere Energy Partners, L.P.
Common Units
J - Other -8,547 0 -100.00
2023-03-31 2023-03-29 4 CQP Cheniere Energy Partners, L.P.
Common Units
P - Purchase 8,547 8,547 47.11 402,649 402,649
2023-03-29 2023-03-28 4 CQP Cheniere Energy Partners, L.P.
Common Units
J - Other 6,249 89,124 7.54
2023-03-29 2023-03-28 4 CQP Cheniere Energy Partners, L.P.
Common Units
J - Other 16,097 248,790 6.92
2023-03-29 2023-03-28 4 CQP Cheniere Energy Partners, L.P.
Common Units
J - Other -15,294 0 -100.00
2023-03-29 2023-03-28 4 CQP Cheniere Energy Partners, L.P.
Common Units
P - Purchase 3,398 15,294 28.56 47.02 159,788 719,185
2023-03-29 2023-03-28 4 CQP Cheniere Energy Partners, L.P.
Common Units
P - Purchase 11,896 11,896 46.84 557,197 557,197
2023-03-29 2023-03-28 4 CQP Cheniere Energy Partners, L.P.
Common Units
J - Other -7,052 0 -100.00
2023-03-29 2023-03-28 4 CQP Cheniere Energy Partners, L.P.
Common Units
P - Purchase 1,567 7,052 28.57 47.02 73,687 331,613
2023-03-29 2023-03-28 4 CQP Cheniere Energy Partners, L.P.
Common Units
P - Purchase 5,485 5,485 46.84 256,912 256,912
2023-03-29 2023-03-27 4 CQP Cheniere Energy Partners, L.P.
Common Units
J - Other 14,936 82,875 21.98
2023-03-29 2023-03-27 4 CQP Cheniere Energy Partners, L.P.
Common Units
J - Other 38,477 232,693 19.81
2023-03-29 2023-03-27 4 CQP Cheniere Energy Partners, L.P.
Common Units
J - Other -36,557 0 -100.00
2023-03-29 2023-03-27 4 CQP Cheniere Energy Partners, L.P.
Common Units
P - Purchase 30,289 36,557 483.23 45.87 1,389,296 1,676,796
2023-03-29 2023-03-27 4 CQP Cheniere Energy Partners, L.P.
Common Units
P - Purchase 6,268 6,268 45.06 282,417 282,417
2023-03-29 2023-03-27 4 CQP Cheniere Energy Partners, L.P.
Common Units
J - Other -16,856 0 -100.00
2023-03-29 2023-03-27 4 CQP Cheniere Energy Partners, L.P.
Common Units
P - Purchase 13,966 16,856 483.25 45.87 640,592 773,151
2023-03-29 2023-03-27 4 CQP Cheniere Energy Partners, L.P.
Common Units
P - Purchase 2,890 2,890 45.06 130,215 130,215
2023-03-16 3 CVT CVENT HOLDING CORP.
Common Stock
3,000,000
2023-03-14 2023-03-10 4 VVNT Vivint Smart Home, Inc.
Class A Common Stock
S - Sale -4,216 0 -100.00 12.00 -50,592
2023-03-14 2023-03-10 4 VVNT Vivint Smart Home, Inc.
Class A Common Stock
S - Sale -9,995,784 0 -100.00 12.00 -119,949,408
2023-03-14 2023-03-10 4 VVNT Vivint Smart Home, Inc.
Class A Common Stock
S - Sale -89,889,464 0 -100.00 12.00 -1,078,673,568
2023-03-08 2023-03-08 4 BMBL Bumble Inc.
Class A Common Stock
S - Sale -10,149 0 -100.00 22.17 -225,034
2023-03-08 2023-03-08 4 BMBL Bumble Inc.
Class A Common Stock
C - Conversion 10,149 10,149
2023-03-08 2023-03-08 4 BMBL Bumble Inc.
Class A Common Stock
S - Sale -46,472 0 -100.00 22.17 -1,030,424
2023-03-08 2023-03-08 4 BMBL Bumble Inc.
Class A Common Stock
C - Conversion 46,472 46,472
2023-03-08 2023-03-08 4 BMBL Bumble Inc.
Class A Common Stock
S - Sale -5,152,496 15,575 -99.70 22.17 -114,246,294 345,344
2023-03-08 2023-03-08 4 BMBL Bumble Inc.
Class A Common Stock
C - Conversion 5,149,714 5,168,071 28,053.14
2023-03-08 2023-03-08 4 BMBL Bumble Inc.
Class A Common Stock
S - Sale -1,698,508 9,509,834 -15.15 22.17 -37,661,018 210,861,549
2023-03-08 2023-03-08 4 BMBL Bumble Inc.
Class A Common Stock
S - Sale -636,523 3,563,850 -15.15 22.17 -14,113,624 79,021,246
2023-03-08 2023-03-08 4 BMBL Bumble Inc.
Class A Common Stock
S - Sale -3,920,892 21,952,799 -15.15 22.17 -86,937,938 486,759,412
2023-03-08 2023-03-08 4 BMBL Bumble Inc.
Class A Common Stock
S - Sale -284,960 1,595,469 -15.15 22.17 -6,318,418 35,376,334
2023-03-06 2023-03-06 4 ALIT Alight, Inc. / Delaware
Class A common stock
S - Sale -303,584 57,028 -84.19 8.71 -2,644,217 496,714
2023-03-06 2023-03-06 4 ALIT Alight, Inc. / Delaware
Class A common stock
S - Sale -303,323 31,214,589 -0.96 8.71 -2,641,943 271,879,070
2023-03-06 2023-03-06 4 ALIT Alight, Inc. / Delaware
Class A common stock
S - Sale -13,983,894 360,612 -97.49 8.71 -121,799,717 3,140,931
2023-03-06 2023-03-06 4 ALIT Alight, Inc. / Delaware
Class A common stock
C - Conversion 14,261,397 14,344,506 17,159.87
2023-03-06 2023-03-06 4 ALIT Alight, Inc. / Delaware
Class V common stock
J - Other -14,261,397 31,184,461 -31.38
2023-03-06 2023-03-06 4 ALIT Alight, Inc. / Delaware
Class A common stock
S - Sale -13,971,851 31,517,912 -30.71 8.71 -121,694,822 274,521,014
2023-02-02 2023-01-31 4 KNTK Kinetik Holdings Inc.
Class A Common Stock
C - Conversion 554 583,812 0.09
2023-02-02 2023-01-31 4 KNTK Kinetik Holdings Inc.
Class A Common Stock
C - Conversion 3,433 3,611,272 0.10
2023-01-30 2023-01-27 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -2,000 9,842,228 -0.02 33.05 -66,094 325,257,093
2023-01-30 2023-01-26 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -205,500 9,844,228 -2.04 33.00 -6,781,952 324,881,181
2023-01-24 3 BAER Wildfire New PubCo, Inc.
Common Stock
9,389,895
2023-01-24 3 BAER Wildfire New PubCo, Inc.
Common Stock
162,194
2023-01-24 3 BAER Wildfire New PubCo, Inc.
Common Stock
72,521
2023-01-17 2023-01-12 4 FOA Finance of America Companies Inc.
Class A Common Stock
J - Other -98,424 21,617,981 -0.45
2023-01-17 2023-01-12 4 FOA Finance of America Companies Inc.
Class A Common Stock
J - Other -1,291 0 -100.00
2023-01-17 2023-01-12 4 FOA Finance of America Companies Inc.
Class A Common Stock
C - Conversion 1,291 1,291
2023-01-17 2023-01-12 4 FOA Finance of America Companies Inc.
Class A Common Stock
J - Other -224,864 0 -100.00
2023-01-17 2023-01-12 4 FOA Finance of America Companies Inc.
Class A Common Stock
C - Conversion 224,864 224,864
2022-12-29 2022-12-29 4 STR STR Sub Inc.
Class C Common Stock
J - Other -11,400,218 0 -100.00
2022-12-29 2022-12-29 4 STR STR Sub Inc.
Class C Common Stock
J - Other -8,637,727 0 -100.00
2022-12-29 3 STR Sitio Royalties Corp.
Class C Common Stock
8,637,727
2022-12-29 3 STR Sitio Royalties Corp.
Class C Common Stock
11,400,218
2022-12-16 2022-12-14 4 ALIT Alight, Inc. / Delaware
Class A common stock
S - Sale -3,172,150 83,109 -97.45 8.00 -25,377,200 664,872
2022-12-16 2022-12-14 4 ALIT Alight, Inc. / Delaware
Class A common stock
C - Conversion 3,166,358 3,255,259 3,561.67
2022-12-16 2022-12-14 4 ALIT Alight, Inc. / Delaware
Class V common stock
J - Other -3,166,358 45,445,858 -6.51
2022-12-16 2022-12-14 4 ALIT Alight, Inc. / Delaware
Class A common stock
S - Sale -3,169,418 45,489,763 -6.51 8.00 -25,355,344 363,918,104
2022-12-14 2022-12-13 4 SARA SARATOGA RESOURCES INC /TX
Common Stock
J - Other -4,800,000 0 -100.00
2022-11-17 2022-11-17 4 ALIT Alight, Inc. / Delaware
Class V Common Stock
J - Other -619,388 4,961,364 -11.10
2022-11-17 2022-11-17 4 ALIT Alight, Inc. / Delaware
Class V Common Stock
J - Other -58,078 465,213 -11.10
2022-11-17 2022-11-17 4 ALIT Alight, Inc. / Delaware
Class V Common Stock
J - Other -20,152 161,420 -11.10
2022-11-17 2022-11-17 4 ALIT Alight, Inc. / Delaware
Class V Common Stock
J - Other -5,371,237 43,024,219 -11.10
2022-11-17 2022-11-17 4 ALIT Alight, Inc. / Delaware
Class A Common Stock
S - Sale -6,074,717 48,659,181 -11.10 7.46 -45,317,389 362,997,490
2022-11-17 2022-11-17 4 ALIT Alight, Inc. / Delaware
Class A Common Stock
S - Sale -620,521 9,073 -98.56 7.46 -4,629,087 67,685
2022-11-17 2022-11-17 4 ALIT Alight, Inc. / Delaware
Class A Common Stock
S - Sale -58,184 851 -98.56 7.46 -434,053 6,348
2022-11-17 2022-11-17 4 ALIT Alight, Inc. / Delaware
Class A Common Stock
S - Sale -20,189 295 -98.56 7.46 -150,610 2,201
2022-11-17 2022-11-17 4 ALIT Alight, Inc. / Delaware
Class A Common Stock
S - Sale -5,381,060 78,682 -98.56 7.46 -40,142,708 586,968
2022-11-17 2022-11-17 4 ALIT Alight, Inc. / Delaware
Class A Common Stock
C - Conversion 619,388 629,594 6,068.86
2022-11-17 2022-11-17 4 ALIT Alight, Inc. / Delaware
Class A Common Stock
C - Conversion 58,078 59,035 6,068.76
2022-11-17 2022-11-17 4 ALIT Alight, Inc. / Delaware
Class A Common Stock
C - Conversion 20,152 20,484 6,069.88
2022-11-17 2022-11-17 4 ALIT Alight, Inc. / Delaware
Class A Common Stock
C - Conversion 5,371,237 5,459,742 6,068.85
2022-11-16 2022-11-15 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -85,000 10,049,728 -0.84 33.45 -2,842,978 336,131,242
2022-11-16 2022-11-14 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -128,200 10,134,728 -1.25 33.83 -4,337,173 342,871,023
2022-11-14 3 APG APi Group Corp
Common Stock
1,440,739
2022-11-14 3 APG APi Group Corp
Common Stock
17,966
2022-11-10 2022-11-08 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -32,072 10,262,928 -0.31 35.52 -1,139,287 364,567,939
2022-11-07 2022-11-07 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -2,773 10,295,000 -0.03 35.81 -99,301 368,662,920
2022-11-07 2022-11-07 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -177,227 10,297,773 -1.69 35.47 -6,286,490 365,276,425
2022-11-07 2022-11-04 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -205,000 10,475,000 -1.92 34.36 -7,044,784 359,971,280
2022-11-07 2022-11-03 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -262,870 10,680,000 -2.40 34.33 -9,023,801 366,623,040
2022-11-07 2022-11-03 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -77,130 10,942,870 -0.70 33.86 -2,611,306 370,480,712
2022-11-04 2022-11-03 4 KNTK Kinetik Holdings Inc.
Class A Common Stock
C - Conversion 131 380,870 0.03
2022-11-04 2022-11-03 4 KNTK Kinetik Holdings Inc.
Class A Common Stock
C - Conversion 813 2,355,942 0.03
2022-11-03 2022-11-02 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -728 11,020,000 -0.01 34.25 -24,937 377,481,284
2022-11-03 2022-11-02 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -124,272 11,020,728 -1.12 33.73 -4,191,682 371,728,053
2022-11-03 2022-11-01 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -60,000 11,145,000 -0.54 33.59 -2,015,370 374,354,978
2022-11-01 2022-10-31 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -65,000 11,205,000 -0.58 33.42 -2,172,521 374,509,197
2022-11-01 2022-10-28 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -30,000 11,270,000 -0.27 33.15 -994,389 373,558,801
2022-11-01 2022-10-28 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -17,846 0 -100.00 33.13 -591,154
2022-10-28 2022-10-27 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -6,601 17,846 -27.00 34.11 -225,191 608,811
2022-10-28 2022-10-27 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -59,399 24,447 -70.84 33.61 -1,996,192 821,578
2022-10-28 2022-10-26 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -85,000 83,846 -50.34 33.69 -2,863,250 2,824,378
2022-10-26 2022-10-25 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -15,000 168,846 -8.16 33.04 -495,602 5,578,689
2022-10-26 2022-10-24 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -45,000 183,846 -19.66 33.07 -1,488,208 6,080,026
2022-10-24 2022-10-21 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -47,000 228,846 -17.04 33.00 -1,551,056 7,552,193
2022-10-24 2022-10-20 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -104,600 275,846 -27.49 32.65 -3,415,023 9,005,931
2022-10-20 2022-10-19 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -315,000 380,446 -45.29 32.74 -10,313,824 12,456,677
2022-10-20 2022-10-18 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -4,200 695,446 -0.60 32.62 -137,011 22,686,631
2022-10-14 2022-10-13 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -122,500 699,646 -14.90 32.77 -4,013,896 22,924,951
2022-10-14 2022-10-12 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -4,410 822,146 -0.53 32.54 -143,481 26,748,849
2022-10-12 2022-10-03 4 AMPS Altus Power, Inc.
Class A Common Stock
S - Sale -1,050,000 20,775,125 -4.81 11.01 -11,560,500 228,734,126
2022-10-12 2022-10-11 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -31,500 826,556 -3.67 32.57 -1,025,983 26,921,673
2022-10-12 2022-10-10 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -4,744 858,056 -0.55 32.53 -154,334 27,914,707
2022-10-05 2022-10-03 4 CHNG Change Healthcare Inc.
Common Stock
D - Sale to Issuer -574,151 0 -100.00 25.75 -14,784,388
2022-10-05 2022-10-03 4 CHNG Change Healthcare Inc.
Common Stock
D - Sale to Issuer -5,434 0 -100.00 25.75 -139,926
2022-10-05 2022-10-03 4 CHNG Change Healthcare Inc.
Common Stock
D - Sale to Issuer -59,040,668 0 -100.00 25.75 -1,520,297,201
2022-10-03 2022-10-03 4 AMPS Altus Power, Inc.
Class A Common Stock
S - Sale -7,000,000 21,825,125 -24.28 11.01 -77,070,000 240,294,626
2022-08-29 2022-08-25 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -7,200 862,800 -0.83 32.68 -235,321 28,199,324
2022-08-25 2022-08-24 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -28,993 870,000 -3.23 32.63 -946,015 28,387,317
2022-08-25 2022-08-23 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -5,179 898,993 -0.57 33.66 -174,311 30,257,587
2022-08-25 2022-08-23 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -36,321 904,172 -3.86 32.84 -1,192,800 29,693,461
2022-08-10 2022-08-08 4 FOA Finance of America Companies Inc.
Class A Common Stock
J - Other -97,429 21,716,405 -0.45
2022-08-10 2022-08-08 4 FOA Finance of America Companies Inc.
Class A Common Stock
J - Other -1,278 0 -100.00
2022-08-10 2022-08-08 4 FOA Finance of America Companies Inc.
Class A Common Stock
C - Conversion 1,278 1,278
2022-08-10 2022-08-08 4 FOA Finance of America Companies Inc.
Class A Common Stock
J - Other -222,591 0 -100.00
2022-08-10 2022-08-08 4 FOA Finance of America Companies Inc.
Class A Common Stock
C - Conversion 222,591 222,591
2022-08-08 3 CHK CHESAPEAKE ENERGY CORP
Common Stock
1,165,899
2022-08-08 3 CHK CHESAPEAKE ENERGY CORP
Common Stock
11,500,000
2022-08-05 2022-08-03 4 KNTK Kinetik Holdings Inc.
Class A Common Stock
C - Conversion 854 197,380 0.43
2022-08-05 2022-08-03 4 KNTK Kinetik Holdings Inc.
Class A Common Stock
C - Conversion 5,289 1,220,939 0.44
2022-06-10 2022-06-08 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -50,000 940,493 -5.05 35.39 -1,769,360 33,281,414
2022-06-09 2022-06-07 4 STR Sitio Royalties Corp.
Class C Common Stock
J - Other 12,165,172 12,165,172
2022-06-08 2022-06-07 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -80,000 990,493 -7.47 35.32 -2,825,528 34,983,321
2022-06-08 2022-06-06 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -6,692 1,070,493 -0.62 35.05 -234,538 37,518,103
2022-06-06 2022-06-03 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -75,000 1,077,185 -6.51 34.41 -2,580,525 37,062,704
2022-06-06 2022-06-02 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -9,550 1,152,185 -0.82 34.02 -324,847 39,192,034
2022-06-03 2022-06-01 4 VVNT Vivint Smart Home, Inc.
Class A Common Stock
J - Other -149,385 89,889,464 -0.17
2022-06-02 2022-05-31 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -64,253 1,161,735 -5.24 33.21 -2,133,983 38,583,775
2022-05-27 2022-05-26 4 CHK CHESAPEAKE ENERGY CORP
Common Stock
S - Sale -5,045 1,165,899 -0.43 101.02 -509,622 117,773,637
2022-05-27 2022-05-26 4 CHK CHESAPEAKE ENERGY CORP
Common Stock
S - Sale -140,719 1,170,944 -10.73 100.53 -14,146,129 117,712,073
2022-05-27 2022-05-25 4 CHK CHESAPEAKE ENERGY CORP
Common Stock
S - Sale -4,236 1,311,663 -0.32 100.11 -424,054 131,306,779
2022-05-09 2022-05-05 4 CHK CHESAPEAKE ENERGY CORP
Common Stock
S - Sale -8,700 1,315,899 -0.66 95.08 -827,181 125,113,440
2022-05-05 2022-05-03 4 KNTK Kinetik Holdings Inc.
Consideration Allocation Rights
C - Conversion -585 269,350 -0.22
2022-05-05 2022-05-03 4 KNTK Kinetik Holdings Inc.
Consideration Allocation Rights
C - Conversion -3,624 1,667,780 -0.22
2022-05-05 2022-05-03 4 KNTK Kinetik Holdings Inc.
Class A Common Stock
C - Conversion 585 585
2022-05-05 2022-05-03 4 KNTK Kinetik Holdings Inc.
Class A Common Stock
C - Conversion 3,624 3,624
2022-05-03 2022-04-29 4 SMFR Sema4 Holdings Corp.
Class A Common Stock
P - Purchase 14,735 162,309 9.98 4.00 58,940 649,236
2022-05-03 2022-04-29 4 SMFR Sema4 Holdings Corp.
Class A Common Stock
P - Purchase 50,402 555,497 9.98 4.00 201,608 2,221,988
2022-05-03 2022-04-29 4 SMFR Sema4 Holdings Corp.
Class A Common Stock
P - Purchase 2,434,863 26,839,187 9.98 4.00 9,739,452 107,356,748
2022-04-22 2022-04-21 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -5,643 12,525,988 -0.05 32.13 -181,321 402,486,299
2022-04-22 2022-04-20 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -33,000 12,531,631 -0.26 31.96 -1,054,700 400,518,446
2022-04-20 2022-04-18 4 CHK CHESAPEAKE ENERGY CORP
Common Stock
S - Sale -4,223 4,156,830 -0.10 97.29 -410,840 404,402,195
2022-04-20 2022-04-18 4 CHK CHESAPEAKE ENERGY CORP
Common Stock
S - Sale -41,787 4,161,053 -0.99 96.37 -4,027,122 401,011,496
2022-04-20 2022-04-18 4 CHK CHESAPEAKE ENERGY CORP
Common Stock
S - Sale -14,306 4,202,840 -0.34 95.60 -1,367,671 401,796,547
2022-04-20 2022-04-18 4 CHK CHESAPEAKE ENERGY CORP
Common Stock
S - Sale -8,805 8,667,769 -0.10 97.29 -856,605 843,254,308
2022-04-20 2022-04-18 4 CHK CHESAPEAKE ENERGY CORP
Common Stock
S - Sale -87,132 8,676,574 -0.99 96.37 -8,397,137 836,183,995
2022-04-20 2022-04-18 4 CHK CHESAPEAKE ENERGY CORP
Common Stock
S - Sale -29,832 8,763,706 -0.34 95.60 -2,851,975 837,820,810
2022-04-20 2022-04-19 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -20,000 12,564,631 -0.16 31.37 -627,498 394,214,041
2022-04-20 2022-04-18 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -38,000 12,584,631 -0.30 31.84 -1,210,110 400,757,574
2022-04-19 2022-04-18 4 CPE Callon Petroleum Co
Common Stock
S - Sale -23,280 5,935,002 -0.39 63.18 -1,470,816 374,969,865
2022-04-19 2022-04-18 4 CPE Callon Petroleum Co
Common Stock
S - Sale -87,629 5,958,282 -1.45 62.36 -5,464,439 371,551,316
2022-04-19 2022-04-18 4 CPE Callon Petroleum Co
Common Stock
S - Sale -89,091 6,045,911 -1.45 61.33 -5,463,782 370,784,234
2022-04-18 2022-04-14 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -32,000 12,622,631 -0.25 31.55 -1,009,715 398,289,450
2022-04-18 2022-04-14 4 CPE Callon Petroleum Co
Common Stock
S - Sale -40,712 6,135,002 -0.66 62.25 -2,534,196 381,884,856
2022-04-18 2022-04-14 4 CPE Callon Petroleum Co
Common Stock
S - Sale -152,387 6,175,714 -2.41 61.43 -9,361,667 379,395,726
2022-04-18 2022-04-14 4 CHK CHESAPEAKE ENERGY CORP
Common Stock
S - Sale -2,258 4,217,146 -0.05 95.05 -214,629 400,851,114
2022-04-18 2022-04-14 4 CHK CHESAPEAKE ENERGY CORP
Common Stock
S - Sale -4,707 8,793,538 -0.05 95.05 -447,413 835,849,529
2022-04-14 2022-04-13 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -32,000 12,654,631 -0.25 31.24 -999,664 395,324,345
2022-04-14 2022-04-12 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -2,168 12,686,631 -0.02 31.09 -67,413 394,484,448
2022-04-14 2022-04-13 4 CPE Callon Petroleum Co
Common Stock
S - Sale -4,477 6,328,101 -0.07 62.19 -278,411 393,524,984
2022-04-14 2022-04-13 4 CPE Callon Petroleum Co
Common Stock
S - Sale -147,898 6,332,578 -2.28 61.37 -9,076,855 388,645,510
2022-04-14 2022-04-12 4 CPE Callon Petroleum Co
Common Stock
S - Sale -11,601 6,480,476 -0.18 63.07 -731,675 408,723,621
2022-04-14 2022-04-12 4 CPE Callon Petroleum Co
Common Stock
S - Sale -86,024 6,492,077 -1.31 62.46 -5,373,455 405,524,993
2022-04-11 2022-04-08 4 CPE Callon Petroleum Co
Common Stock
S - Sale -144,913 6,578,101 -2.16 62.25 -9,021,254 409,505,864
2022-04-11 2022-04-08 4 CPE Callon Petroleum Co
Common Stock
S - Sale -64,598 6,723,014 -0.95 61.78 -3,990,877 415,349,150
2022-04-11 2022-04-07 4 CPE Callon Petroleum Co
Common Stock
S - Sale -5,853 6,787,612 -0.09 62.11 -363,511 421,556,182
2022-04-11 2022-04-07 4 CPE Callon Petroleum Co
Common Stock
S - Sale -7,500 6,793,465 -0.11 61.10 -458,266 415,094,978
2022-04-11 2022-04-08 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -40,000 12,688,799 -0.31 31.38 -1,255,188 398,170,706
2022-04-11 2022-04-07 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -15,000 12,728,799 -0.12 31.24 -468,648 397,688,413
2022-04-07 2022-04-06 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -75,000 12,743,799 -0.59 31.19 -2,339,168 397,465,073
2022-04-07 2022-04-05 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -48,000 12,818,799 -0.37 30.80 -1,478,184 394,761,325
2022-04-07 2022-04-06 4 CPE Callon Petroleum Co
Common Stock
S - Sale -300 6,800,965 0.00 62.00 -18,601 421,682,273
2022-04-07 2022-04-05 4 CPE Callon Petroleum Co
Common Stock
S - Sale -14,309 6,801,265 -0.21 63.88 -913,996 434,434,883
2022-04-07 2022-04-05 4 CPE Callon Petroleum Co
Common Stock
S - Sale -4,120 6,815,574 -0.06 62.54 -257,682 426,274,623
2022-04-05 2022-04-01 4 FOA Finance of America Companies Inc.
LLC Units of Finance of America Equity Capital LLC
C - Conversion -4,816 286,090 -1.66
2022-04-05 2022-04-01 4 FOA Finance of America Companies Inc.
LLC Units of Finance of America Equity Capital LLC
C - Conversion -839,115 49,836,805 -1.66
2022-04-05 2022-04-01 4 FOA Finance of America Companies Inc.
Class A Common Stock
J - Other -639,752 21,813,834 -2.85
2022-04-05 2022-04-01 4 FOA Finance of America Companies Inc.
Class A Common Stock
J - Other -8,390 0 -100.00
2022-04-05 2022-04-01 4 FOA Finance of America Companies Inc.
Class A Common Stock
C - Conversion 4,816 8,390 134.75
2022-04-05 2022-04-01 4 FOA Finance of America Companies Inc.
Class A Common Stock
J - Other -1,461,604 0 -100.00
2022-04-05 2022-04-01 4 FOA Finance of America Companies Inc.
Class A Common Stock
C - Conversion 839,115 1,461,604 134.80
2022-04-05 2022-04-01 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -6,200 12,866,799 -0.05 30.06 -186,376 386,784,985
2022-04-05 2022-04-04 4 CPE Callon Petroleum Co
Common Stock
J - Other -1,862,327 0 -100.00
2022-04-05 2022-04-04 4 CPE Callon Petroleum Co
Common Stock
J - Other -5,433,817 0 -100.00
2022-04-05 2022-04-01 4 CPE Callon Petroleum Co
Common Stock
S - Sale -6,735 1,862,327 -0.36 61.38 -413,427 114,318,570
2022-04-05 2022-04-01 4 CPE Callon Petroleum Co
Common Stock
S - Sale -18,465 5,433,817 -0.34 61.38 -1,133,470 333,553,770
2022-04-01 2022-03-30 4 GTES Gates Industrial Corp plc
Ordinary Shares
S - Sale -1,289,867 16,527,684 -7.24 15.14 -19,528,586 250,229,136
2022-04-01 2022-03-30 4 GTES Gates Industrial Corp plc
Ordinary Shares
S - Sale -20,938 268,295 -7.24 15.14 -317,001 4,061,986
2022-04-01 2022-03-30 4 GTES Gates Industrial Corp plc
Ordinary Shares
S - Sale -6,115,142 78,356,260 -7.24 15.14 -92,583,250 1,186,313,776
2022-04-01 2022-03-30 4 GTES Gates Industrial Corp plc
Ordinary Shares
S - Sale -6,324,053 81,033,144 -7.24 15.14 -95,746,162 1,226,841,800
2022-04-01 2022-03-30 4 IMGO Imago BioSciences, Inc.
Common Stock
J - Other -1,000,000 2,375,037 -29.63
2022-03-29 2022-03-29 4 APR Apria, Inc.
Common Stock
S - Sale -14,187,515 0 -100.00 37.50 -532,031,812
2022-03-29 2022-03-25 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -45,000 12,872,999 -0.35 31.31 -1,408,774 403,003,394
2022-03-29 2022-03-25 4 CPE Callon Petroleum Co
Common Stock
S - Sale -18,882 1,869,062 -1.00 62.20 -1,174,498 116,259,395
2022-03-29 2022-03-25 4 CPE Callon Petroleum Co
Common Stock
S - Sale -15,860 1,887,944 -0.83 61.51 -975,542 116,126,680
2022-03-29 2022-03-25 4 CPE Callon Petroleum Co
Common Stock
S - Sale -51,771 5,452,282 -0.94 62.20 -3,220,260 339,142,845
2022-03-29 2022-03-25 4 CPE Callon Petroleum Co
Common Stock
S - Sale -43,487 5,504,053 -0.78 61.51 -2,674,868 338,552,098
2022-03-23 2022-03-21 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -16,496 12,917,999 -0.13 30.07 -496,088 388,485,568
2022-03-21 2022-03-17 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -20,000 12,934,495 -0.15 29.67 -593,402 383,767,760
2022-03-14 2022-03-11 4 CPE Callon Petroleum Co
Common Stock
S - Sale -2,573 1,903,804 -0.13 60.21 -154,925 114,631,656
2022-03-14 2022-03-11 4 CPE Callon Petroleum Co
Common Stock
S - Sale -7,056 5,547,540 -0.13 60.21 -424,855 334,027,924
2022-03-14 2022-03-10 4 CPE Callon Petroleum Co
Common Stock
S - Sale -12,026 1,906,377 -0.63 60.32 -725,373 114,987,132
2022-03-14 2022-03-10 4 CPE Callon Petroleum Co
Common Stock
S - Sale -32,974 5,554,596 -0.59 60.32 -1,988,896 335,037,122
2022-03-10 2022-03-09 4 CPE Callon Petroleum Co
Common Stock
S - Sale -3,335 1,918,403 -0.17 60.15 -200,608 115,396,545
2022-03-10 2022-03-09 4 CPE Callon Petroleum Co
Common Stock
S - Sale -9,144 5,587,570 -0.16 60.15 -550,034 336,105,746
2022-03-10 2022-03-08 4 CPE Callon Petroleum Co
Common Stock
S - Sale -27 1,921,738 0.00 66.01 -1,782 126,853,925
2022-03-10 2022-03-08 4 CPE Callon Petroleum Co
Common Stock
S - Sale -48,003 1,921,765 -2.44 65.32 -3,135,786 125,538,914
2022-03-10 2022-03-08 4 CPE Callon Petroleum Co
Common Stock
S - Sale -55,043 1,969,768 -2.72 64.61 -3,556,191 127,261,786
2022-03-10 2022-03-08 4 CPE Callon Petroleum Co
Common Stock
S - Sale -14,515 2,024,811 -0.71 63.47 -921,283 128,516,981
2022-03-10 2022-03-08 4 CPE Callon Petroleum Co
Common Stock
S - Sale -4,627 2,039,326 -0.23 62.48 -289,079 127,409,951
2022-03-10 2022-03-08 4 CPE Callon Petroleum Co
Common Stock
S - Sale -9,926 2,043,953 -0.48 61.32 -608,626 125,327,635
2022-03-10 2022-03-08 4 CPE Callon Petroleum Co
Common Stock
S - Sale -5,493 2,053,879 -0.27 60.51 -332,394 124,284,737
2022-03-10 2022-03-08 4 CPE Callon Petroleum Co
Common Stock
S - Sale -73 5,596,714 0.00 66.01 -4,819 369,439,091
2022-03-10 2022-03-08 4 CPE Callon Petroleum Co
Common Stock
S - Sale -131,613 5,596,787 -2.30 65.32 -8,597,593 365,608,991
2022-03-10 2022-03-08 4 CPE Callon Petroleum Co
Common Stock
S - Sale -150,919 5,728,400 -2.57 64.61 -9,750,499 370,097,603
2022-03-10 2022-03-08 4 CPE Callon Petroleum Co
Common Stock
S - Sale -39,796 5,879,319 -0.67 63.47 -2,525,896 373,166,844
2022-03-10 2022-03-08 4 CPE Callon Petroleum Co
Common Stock
S - Sale -12,687 5,919,115 -0.21 62.48 -792,639 369,805,588
2022-03-10 2022-03-08 4 CPE Callon Petroleum Co
Common Stock
S - Sale -27,216 5,931,802 -0.46 61.32 -1,668,784 363,716,151
2022-03-10 2022-03-08 4 CPE Callon Petroleum Co
Common Stock
S - Sale -15,062 5,959,018 -0.25 60.51 -911,435 360,593,289
2022-03-10 2022-03-08 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -13,139 12,954,495 -0.10 30.07 -395,048 389,500,210
2022-03-08 2022-03-04 4 FOA Finance of America Companies Inc.
Class A Common Stock
J - Other -2,983 22,453,586 -0.01
2022-03-08 2022-03-04 4 FOA Finance of America Companies Inc.
Class A Common Stock
J - Other -39 3,574 -1.08
2022-03-08 2022-03-04 4 FOA Finance of America Companies Inc.
Class A Common Stock
J - Other -6,814 622,489 -1.08
2022-03-08 2022-03-07 4 CPE Callon Petroleum Co
Common Stock
S - Sale -53,158 2,059,372 -2.52 61.38 -3,262,780 126,401,988
2022-03-08 2022-03-07 4 CPE Callon Petroleum Co
Common Stock
S - Sale -73,786 2,112,530 -3.37 60.37 -4,454,298 127,528,789
2022-03-08 2022-03-07 4 CPE Callon Petroleum Co
Common Stock
S - Sale -145,749 5,974,080 -2.38 61.38 -8,945,913 366,682,459
2022-03-08 2022-03-07 4 CPE Callon Petroleum Co
Common Stock
S - Sale -202,307 6,119,829 -3.20 60.37 -12,212,829 369,440,613
2022-03-08 2022-03-04 4 CPE Callon Petroleum Co
Common Stock
S - Sale -1,396 2,186,316 -0.06 60.02 -83,788 131,222,030
2022-03-08 2022-03-04 4 CPE Callon Petroleum Co
Common Stock
S - Sale -3,829 6,322,136 -0.06 60.02 -229,815 379,452,706
2022-03-08 2022-03-07 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -1,230 12,967,624 -0.01 30.69 -37,746 397,947,852
2022-03-08 2022-03-07 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -21,363 12,968,864 -0.16 30.09 -642,802 390,226,633
2022-03-08 2022-03-04 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -125,336 12,990,227 -0.96 29.92 -3,750,166 388,679,283
2022-03-07 2022-03-03 4 CPLG CorePoint Lodging Inc.
Common Stock
S - Sale -444,298 0 -100.00 15.99 -7,104,325
2022-03-07 2022-03-03 4 CPLG CorePoint Lodging Inc.
Common Stock
S - Sale -88,291 0 -100.00 15.99 -1,411,773
2022-03-07 2022-03-03 4 CPLG CorePoint Lodging Inc.
Common Stock
S - Sale -2,817,965 0 -100.00 15.99 -45,059,260
2022-03-07 2022-03-03 4 CPLG CorePoint Lodging Inc.
Common Stock
S - Sale -1,096,835 0 -100.00 15.99 -17,538,392
2022-03-07 2022-03-03 4 CPLG CorePoint Lodging Inc.
Common Stock
S - Sale -770,527 0 -100.00 15.99 -12,320,727
2022-03-07 2022-03-03 4 CPLG CorePoint Lodging Inc.
Common Stock
S - Sale -3,045,672 0 -100.00 15.99 -48,700,295
2022-03-07 2022-03-03 4 CPLG CorePoint Lodging Inc.
Common Stock
S - Sale -89,162 0 -100.00 15.99 -1,425,700
2022-03-07 2022-03-03 4 CPLG CorePoint Lodging Inc.
Common Stock
S - Sale -304,078 0 -100.00 15.99 -4,862,207
2022-03-07 2022-03-03 4 CPLG CorePoint Lodging Inc.
Common Stock
S - Sale -262,018 0 -100.00 15.99 -4,189,668
2022-03-07 2022-03-03 4 CPLG CorePoint Lodging Inc.
Common Stock
S - Sale -190,751 0 -100.00 15.99 -3,050,108
2022-03-07 2022-03-03 4 CPLG CorePoint Lodging Inc.
Common Stock
S - Sale -71,631 0 -100.00 15.99 -1,145,380
2022-03-07 2022-03-03 4 CPLG CorePoint Lodging Inc.
Common Stock
S - Sale -177,047 0 -100.00 15.99 -2,830,982
2022-03-07 2022-03-03 4 CPLG CorePoint Lodging Inc.
Common Stock
S - Sale -526,436 0 -100.00 15.99 -8,417,712
2022-03-07 2022-03-03 4 CPLG CorePoint Lodging Inc.
Common Stock
S - Sale -932,172 0 -100.00 15.99 -14,905,430
2022-03-07 2022-03-03 4 CPLG CorePoint Lodging Inc.
Common Stock
S - Sale -6,769,655 0 -100.00 15.99 -108,246,783
2022-03-04 2022-03-03 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -8,664 13,115,563 -0.07 29.55 -256,011 387,549,148
2022-03-04 2022-03-02 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -80,000 13,124,227 -0.61 29.89 -2,391,480 392,329,080
2022-03-03 2022-03-02 4 CPE Callon Petroleum Co
Common Stock
S - Sale -21,743 2,187,712 -0.98 60.40 -1,313,323 132,142,399
2022-03-03 2022-03-02 4 CPE Callon Petroleum Co
Common Stock
S - Sale -59,614 6,325,965 -0.93 60.40 -3,600,811 382,101,571
2022-03-03 2022-03-01 4 CPE Callon Petroleum Co
Common Stock
S - Sale -8,385 2,209,455 -0.38 61.42 -515,040 135,713,564
2022-03-03 2022-03-01 4 CPE Callon Petroleum Co
Common Stock
S - Sale -5,753 2,217,840 -0.26 60.96 -350,682 135,191,320
2022-03-03 2022-03-01 4 CPE Callon Petroleum Co
Common Stock
S - Sale -22,989 6,385,579 -0.36 61.42 -1,412,076 392,227,804
2022-03-03 2022-03-01 4 CPE Callon Petroleum Co
Common Stock
S - Sale -15,773 6,408,568 -0.25 60.96 -961,464 390,642,594
2022-03-02 2022-03-01 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -65,000 13,204,227 -0.49 29.70 -1,930,312 392,127,250
2022-03-02 2022-02-28 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -19,202 13,269,227 -0.14 29.57 -567,788 392,360,427
2022-03-02 2022-02-28 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -190,798 13,288,429 -1.42 29.36 -5,602,268 390,178,839
2022-02-28 2022-02-25 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -600 13,479,227 0.00 28.04 -16,823 377,934,610
2022-02-28 2022-02-25 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -104,400 13,479,827 -0.77 28.52 -2,977,217 384,409,618
2022-02-28 2022-02-24 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -123,000 13,584,227 -0.90 28.38 -3,490,654 385,510,853
2022-02-25 2022-02-24 4 VVNT Vivint Smart Home, Inc.
Class A Common Stock
J - Other -14,497,780 90,038,849 -13.87
2022-02-18 2022-02-16 4 CTOS Custom Truck One Source, Inc.
Common Stock
S - Sale -2,264 0 -100.00 8.07 -18,270
2022-02-18 2022-02-16 4 CTOS Custom Truck One Source, Inc.
Common Stock
S - Sale -466,472 0 -100.00 8.07 -3,764,429
2022-02-18 2022-02-16 4 CTOS Custom Truck One Source, Inc.
Common Stock
S - Sale -455,487 0 -100.00 8.07 -3,675,780
2022-02-18 2022-02-16 4 CTOS Custom Truck One Source, Inc.
Common Stock
S - Sale -23,457 0 -100.00 8.07 -189,298
2022-02-18 2022-02-16 4 CTOS Custom Truck One Source, Inc.
Common Stock
S - Sale -45,860 0 -100.00 8.07 -370,090
2022-02-18 2022-02-16 4 CTOS Custom Truck One Source, Inc.
Common Stock
S - Sale -472,446 0 -100.00 8.07 -3,812,639
2022-02-18 2022-02-16 4 CTOS Custom Truck One Source, Inc.
Common Stock
S - Sale -382,460 0 -100.00 8.07 -3,086,452
2022-02-10 2022-02-10 4 ALTM Altus Midstream Co
Class A Common Stock
J - Other 0 0
2022-01-21 3 ALTM Altus Midstream Co
Class A Common Stock
0
2022-01-11 2022-01-09 4 VNOM Viper Energy Partners LP
Common Units
S - Sale -1,500,000 13,707,227 -9.86 24.88 -37,320,000 341,035,808
2021-12-17 3 AMPS Altus Power, Inc.
Class A Common Stock
28,825,125
2021-12-14 2021-12-14 4 APR Apria, Inc.
Common Stock
S - Sale -349,527 14,187,515 -2.40 29.92 -10,459,595 424,561,386
2021-12-08 2021-11-29 4 N/A Blackstone Real Estate Income Fund
Common Shares of Beneficial Interest
J - Other -412 0 -100.00 926.58 -381,711
2021-12-08 2021-08-23 4 N/A Blackstone Real Estate Income Fund
Common Shares of Beneficial Interest
J - Other -6,167 412 -93.74 910.05 -5,612,593 374,901
2021-12-08 2021-11-29 4 N/A Blackstone Real Estate Income Fund II
Advisor Class I Common Shares of Beneficial Interest
J - Other -1 0 -100.00 898.36 -651
2021-12-08 2021-11-29 4 N/A Blackstone Real Estate Income Fund II
Institutional Class II Common Shares of Beneficial Interest
J - Other -264 0 -100.00 908.60 -239,999
2021-12-08 2021-08-23 4 N/A Blackstone Real Estate Income Fund II
Advisor Class I Common Shares of Beneficial Interest
J - Other -26 1 -97.27 877.07 -22,621 636
2021-12-08 2021-08-23 4 N/A Blackstone Real Estate Income Fund II
Institutional Class II Common Shares of Beneficial Interest
J - Other -6,524 264 -96.11 887.60 -5,790,692 234,452
2021-11-22 2021-11-22 4 CTOS Custom Truck One Source, Inc.
Common Stock
S - Sale -15,096 2,264 -86.96 8.20 -123,825 18,570
2021-11-22 2021-11-22 4 CTOS Custom Truck One Source, Inc.
Common Stock
S - Sale -3,109,809 466,472 -86.96 8.20 -25,508,208 3,826,237
2021-11-22 2021-11-22 4 CTOS Custom Truck One Source, Inc.
Common Stock
S - Sale -3,036,582 455,487 -86.96 8.20 -24,907,564 3,736,132
2021-11-22 2021-11-22 4 CTOS Custom Truck One Source, Inc.
Common Stock
S - Sale -156,378 23,457 -86.96 8.20 -1,282,691 192,406
2021-11-22 2021-11-22 4 CTOS Custom Truck One Source, Inc.
Common Stock
S - Sale -305,733 45,860 -86.96 8.20 -2,507,775 376,167
2021-11-22 2021-11-22 4 CTOS Custom Truck One Source, Inc.
Common Stock
S - Sale -3,149,642 472,446 -86.96 8.20 -25,834,939 3,875,238
2021-11-22 2021-11-22 4 CTOS Custom Truck One Source, Inc.
Common Stock
S - Sale -2,549,735 382,460 -86.96 8.20 -20,914,201 3,137,128
2021-11-18 2021-11-16 4 CYRX Cryoport, Inc.
Common Stock
S - Sale -11,400 10,339 -52.44 76.00 -866,400 785,764
2021-11-18 2021-11-16 4 CYRX Cryoport, Inc.
Common Stock
S - Sale -488,600 443,057 -52.44 76.00 -37,133,600 33,672,332
2021-11-17 2021-11-15 4 APR Apria, Inc.
Common Stock
S - Sale -4,500,000 14,537,042 -23.64 29.92 -134,662,500 435,020,982
2021-11-03 2021-11-01 4 VEI VINE ENERGY INC.
Common Units of Vine Energy Holdings LLC
C - Conversion -242,663 0 -100.00
2021-11-03 2021-11-01 4 VEI VINE ENERGY INC.
Common Units of Vine Energy Holdings LLC
C - Conversion -16,588,860 0 -100.00
2021-11-03 2021-11-01 4 VEI VINE ENERGY INC.
Common Units of Vine Energy Holdings LLC
C - Conversion -17,387,012 0 -100.00
2021-11-03 2021-11-01 4 VEI VINE ENERGY INC.
Class B Common Stock
J - Other -242,663 0 -100.00
2021-11-03 2021-11-01 4 VEI VINE ENERGY INC.
Class B Common Stock
J - Other -16,588,860 0 -100.00
2021-11-03 2021-11-01 4 VEI VINE ENERGY INC.
Class B Common Stock
J - Other -17,387,012 0 -100.00
2021-11-03 2021-11-01 4 VEI VINE ENERGY INC.
Class A Common Stock
J - Other -104,547 0 -100.00
2021-11-03 2021-11-01 4 VEI VINE ENERGY INC.
Class A Common Stock
J - Other -265,488 0 -100.00
2021-11-03 2021-11-01 4 VEI VINE ENERGY INC.
Class A Common Stock
J - Other -7,129,295 0 -100.00
2021-11-03 2021-11-01 4 VEI VINE ENERGY INC.
Class A Common Stock
J - Other -18,068,757 0 -100.00
2021-11-03 2021-11-01 4 VEI VINE ENERGY INC.
Class A Common Stock
J - Other -10,312,823 0 -100.00
2021-11-03 2021-11-01 4 VEI VINE ENERGY INC.
Class A Common Stock
J - Other -18,938,346 0 -100.00
2021-11-03 2021-11-01 4 VEI VINE ENERGY INC.
Class A Common Stock
C - Conversion 242,663 265,488 1,063.15
2021-11-03 2021-11-01 4 VEI VINE ENERGY INC.
Class A Common Stock
C - Conversion 16,588,860 18,068,757 1,120.95
2021-11-03 2021-11-01 4 VEI VINE ENERGY INC.
Class A Common Stock
C - Conversion 17,387,012 18,938,346 1,120.78
2021-11-03 3 CHK CHESAPEAKE ENERGY CORP
Common Stock
4,642,228
2021-11-03 3 CHK CHESAPEAKE ENERGY CORP
Common Stock
2,563,751
2021-11-03 3 CHK CHESAPEAKE ENERGY CORP
Common Stock
4,069,275
2021-11-03 3 CHK CHESAPEAKE ENERGY CORP
Common Stock
1,656,957
2021-11-03 3 CHK CHESAPEAKE ENERGY CORP
Common Stock
59,931
2021-11-03 3 CHK CHESAPEAKE ENERGY CORP
Common Stock
25,511
2021-10-27 2021-10-25 4 TASK TaskUs, Inc.
Class B Common Stock
C - Conversion -8,127,882 47,130,480 -14.71
2021-10-27 2021-10-25 4 TASK TaskUs, Inc.
Class A Common Stock
S - Sale -8,127,882 0 -100.00 61.44 -499,346,997
2021-10-27 2021-10-25 4 TASK TaskUs, Inc.
Class A Common Stock
C - Conversion 8,127,882 8,127,882
2021-10-25 2021-10-22 4 OPFI OppFi Inc.
Warrant (right to buy)
S - Sale -494,281 0 -100.00 1.18 -581,818
2021-10-25 2021-10-21 4 OPFI OppFi Inc.
Warrant (right to buy)
S - Sale -61,223 494,281 -11.02 1.38 -84,665 683,541
2021-10-25 2021-10-21 4 OPFI OppFi Inc.
Warrant (right to buy)
S - Sale -4,496 555,504 -0.80 1.51 -6,789 838,811
2021-10-25 2021-10-21 4 OPFI OppFi Inc.
Class A Common Stock
S - Sale 7,600 1,074,134 0.71 7.00 53,205 7,519,690
2021-10-25 2021-10-21 4 OPFI OppFi Inc.
Class A Common Stock
S - Sale 31,366 1,081,734 2.99 7.04 220,820 7,615,516
2021-10-25 2021-10-21 4 OPFI OppFi Inc.
Class A Common Stock
S - Sale 6,900 1,113,100 0.62 7.14 49,258 7,946,310
2021-10-21 2021-10-19 4 VNOM Viper Energy Partners LP
Common Units
J - Other -12,815,808 0 -100.00
2021-10-21 2021-10-19 4 VNOM Viper Energy Partners LP
Common Units
J - Other -2,434,192 0 -100.00
2021-10-12 3 CPE Callon Petroleum Co
Common Stock
6,424,341
2021-10-12 3 CPE Callon Petroleum Co
Common Stock
2,417,198
2021-10-12 3 VNOM Viper Energy Partners LP
Common Units
2,434,192
2021-10-12 3 VNOM Viper Energy Partners LP
Common Units
12,815,808
2021-10-08 2021-10-06 4 PRAX Praxis Precision Medicines, Inc.
Common Stock
S - Sale -400,000 0 -100.00 17.50 -7,000,000
2021-10-05 2021-10-05 4 PRAX Praxis Precision Medicines, Inc.
Common Stock
S - Sale -23,946 400,000 -5.65 19.15 -458,566 7,660,000
2021-10-05 2021-10-01 4 PRAX Praxis Precision Medicines, Inc.
Common Stock
S - Sale -22,600 423,946 -5.06 19.13 -432,338 8,110,087
2021-10-04 2021-10-01 4 CQP Cheniere Energy Partners, L.P.
Common Units
J - Other 2,455 67,939 3.75
2021-10-04 2021-10-01 4 CQP Cheniere Energy Partners, L.P.
Common Units
J - Other 7,018 194,216 3.75
2021-10-04 2021-10-01 4 CQP Cheniere Energy Partners, L.P.
Common Units
J - Other -9,473 0 -100.00
2021-10-04 2021-10-01 4 CQP Cheniere Energy Partners, L.P.
Common Units
P - Purchase 9,473 9,473 40.96 387,986 387,986
2021-10-04 2021-09-30 4 CQP Cheniere Energy Partners, L.P.
Common Units
J - Other 9,082 65,484 16.10
2021-10-04 2021-09-30 4 CQP Cheniere Energy Partners, L.P.
Common Units
J - Other 25,962 187,198 16.10
2021-10-04 2021-09-30 4 CQP Cheniere Energy Partners, L.P.
Common Units
J - Other -35,044 0 -100.00
2021-10-04 2021-09-30 4 CQP Cheniere Energy Partners, L.P.
Common Units
P - Purchase 35,044 35,044 40.93 1,434,351 1,434,351
2021-10-04 2021-09-28 4 CQP Cheniere Energy Partners, L.P.
Common Units
J - Other 1 56,402 0.00
2021-10-04 2021-09-28 4 CQP Cheniere Energy Partners, L.P.
Common Units
J - Other 1 56,402 0.00
2021-10-04 2021-09-28 4 CQP Cheniere Energy Partners, L.P.
Common Units
J - Other -2 0 -100.00
2021-10-04 2021-09-28 4 CQP Cheniere Energy Partners, L.P.
Common Units
L - Other 2 2 40.90 82 82
2021-10-01 2021-09-29 4 FOA Finance of America Companies Inc.
Class A Common Stock
J - Other -609,926 22,456,569 -2.64
2021-10-01 2021-09-29 4 FOA Finance of America Companies Inc.
Class A Common Stock
J - Other -7,999 3,613 -68.89
2021-10-01 2021-09-29 4 FOA Finance of America Companies Inc.
Class A Common Stock
J - Other -1,393,463 629,303 -68.89
2021-09-28 2021-09-27 4 CQP Cheniere Energy Partners, L.P.
Common Units
J - Other 26 56,401 0.05
2021-09-28 2021-09-27 4 CQP Cheniere Energy Partners, L.P.
Common Units
J - Other 74 161,235 0.05
2021-09-28 2021-09-27 4 CQP Cheniere Energy Partners, L.P.
Common Units
J - Other -100 0 -100.00
2021-09-28 2021-09-27 4 CQP Cheniere Energy Partners, L.P.
Common Units
P - Purchase 100 100 40.90 4,090 4,090
2021-09-28 2021-09-24 4 CQP Cheniere Energy Partners, L.P.
Common Units
J - Other 29 56,375 0.05
2021-09-28 2021-09-24 4 CQP Cheniere Energy Partners, L.P.
Common Units
J - Other 84 161,161 0.05
2021-09-28 2021-09-24 4 CQP Cheniere Energy Partners, L.P.
Common Units
J - Other -113 0 -100.00
2021-09-28 2021-09-24 4 CQP Cheniere Energy Partners, L.P.
Common Units
P - Purchase 113 113 40.00 4,520 4,520
2021-09-24 2021-09-22 4 CQP Cheniere Energy Partners, L.P.
Common Units
J - Other 7,785 56,329 16.04
2021-09-24 2021-09-22 4 CQP Cheniere Energy Partners, L.P.
Common Units
J - Other 22,255 161,027 16.04
2021-09-24 2021-09-22 4 CQP Cheniere Energy Partners, L.P.
Common Units
J - Other -30,400 0 -100.00
2021-09-24 2021-09-22 4 CQP Cheniere Energy Partners, L.P.
Common Units
P - Purchase 30,400 30,400 39.60 1,203,937 1,203,937
2021-09-15 2021-09-15 4 BMBL Bumble Inc.
Common Units of Buzz Holdings L.P.
C - Conversion -17,879 66,969 -21.07
2021-09-15 2021-09-15 4 BMBL Bumble Inc.
Common Units of Buzz Holdings L.P.
C - Conversion -81,871 306,667 -21.07
2021-09-15 2021-09-15 4 BMBL Bumble Inc.
Common Units of Buzz Holdings L.P.
C - Conversion -9,072,260 33,982,606 -21.07
2021-09-15 2021-09-15 4 BMBL Bumble Inc.
Class A Common Stock
S - Sale -17,879 0 -100.00 52.38 -936,502
2021-09-15 2021-09-15 4 BMBL Bumble Inc.
Class A Common Stock
C - Conversion 17,879 17,879
2021-09-15 2021-09-15 4 BMBL Bumble Inc.
Class A Common Stock
S - Sale -81,871 0 -100.00 52.38 -4,288,403
2021-09-15 2021-09-15 4 BMBL Bumble Inc.
Class A Common Stock
C - Conversion 81,871 81,871
2021-09-15 2021-09-15 4 BMBL Bumble Inc.
Class A Common Stock
S - Sale -9,077,161 18,357 -99.80 52.38 -475,461,693 961,540
2021-09-15 2021-09-15 4 BMBL Bumble Inc.
Class A Common Stock
C - Conversion 9,072,260 9,095,518 39,007.05
2021-09-15 2021-09-15 4 BMBL Bumble Inc.
Class A Common Stock
S - Sale -2,992,267 11,208,342 -21.07 52.38 -156,734,945 587,092,954
2021-09-15 2021-09-15 4 BMBL Bumble Inc.
Class A Common Stock
S - Sale -1,121,365 4,200,373 -21.07 52.38 -58,737,099 220,015,538
2021-09-15 2021-09-15 4 BMBL Bumble Inc.
Class A Common Stock
S - Sale -6,907,443 25,873,691 -21.07 52.38 -361,811,864 1,355,263,935
2021-09-15 2021-09-15 4 BMBL Bumble Inc.
Class A Common Stock
S - Sale -502,014 1,880,429 -21.07 52.38 -26,295,493 98,496,871
2021-08-30 3 SMFR Sema4 Holdings Corp.
Class A Common Stock
24,404,324
2021-08-30 3 SMFR Sema4 Holdings Corp.
Class A Common Stock
505,095
2021-08-30 3 SMFR Sema4 Holdings Corp.
Class A Common Stock
147,574
2021-08-30 3 SMFR Sema4 Holdings Corp.
Class A Common Stock
100,000
2021-08-26 2021-08-24 4 CYRX Cryoport, Inc.
Common Stock
S - Sale -7,638 21,739 -26.00 60.00 -458,280 1,304,340
2021-08-26 2021-08-24 4 CYRX Cryoport, Inc.
Common Stock
S - Sale -327,362 931,657 -26.00 60.00 -19,641,720 55,899,420
2021-08-25 2021-08-23 4 PRAX Praxis Precision Medicines, Inc.
Common Stock
S - Sale -771 446,546 -0.17 20.04 -15,451 8,948,782
2021-08-25 2021-08-23 4 PRAX Praxis Precision Medicines, Inc.
Common Stock
S - Sale -351,625 447,317 -44.01 19.00 -6,680,875 8,499,023
2021-08-20 2021-08-18 4 PRAX Praxis Precision Medicines, Inc.
Common Stock
S - Sale -3,000 798,942 -0.37 15.88 -47,640 12,687,199
2021-08-18 2021-08-16 4 GTES Gates Industrial Corp plc
Ordinary Shares
S - Sale -43,780 289,233 -13.15 15.36 -672,461 4,442,619
2021-08-18 2021-08-16 4 GTES Gates Industrial Corp plc
Ordinary Shares
S - Sale -12,786,205 84,471,402 -13.15 15.36 -196,396,109 1,297,480,735
2021-08-18 2021-08-16 4 GTES Gates Industrial Corp plc
Ordinary Shares
S - Sale -13,223,021 87,357,197 -13.15 15.36 -203,105,603 1,341,806,546
2021-08-18 2021-08-16 4 GTES Gates Industrial Corp plc
Ordinary Shares
S - Sale -2,696,994 17,817,551 -13.15 15.36 -41,425,828 273,677,583
2021-08-13 3 OPFI OppFi Inc.
Class A Common Stock
1,120,000
2021-08-13 2021-08-12 4 PRAX Praxis Precision Medicines, Inc.
Common Stock
S - Sale -10,060 801,942 -1.24 13.92 -140,035 11,163,033
2021-08-13 2021-08-11 4 PRAX Praxis Precision Medicines, Inc.
Common Stock
S - Sale -17,222 812,002 -2.08 15.03 -258,847 12,204,390
2021-08-05 2021-08-03 4 PRAX Praxis Precision Medicines, Inc.
Common Stock
S - Sale -22,300 829,224 -2.62 14.99 -334,277 12,430,068
2021-08-03 2021-08-02 4 PRAX Praxis Precision Medicines, Inc.
Common Stock
S - Sale -40,000 851,524 -4.49 15.78 -631,200 13,437,049
2021-08-03 2021-07-30 4 PRAX Praxis Precision Medicines, Inc.
Common Stock
S - Sale -15,854 891,524 -1.75 15.68 -248,591 13,979,096
2021-07-20 2021-07-20 4 IMGO Imago BioSciences, Inc.
Series C convertible Preferred Stock
C - Conversion -197,131 0 -100.00
2021-07-20 2021-07-20 4 IMGO Imago BioSciences, Inc.
Series B convertible Preferred Stock
C - Conversion -1,155,689 0 -100.00
2021-07-20 2021-07-20 4 IMGO Imago BioSciences, Inc.
Series A convertible Preferred Stock
C - Conversion -1,872,217 0 -100.00
2021-07-20 2021-07-20 4 IMGO Imago BioSciences, Inc.
Common Stock
P - Purchase 150,000 3,375,037 4.65 16.00 2,400,000 54,000,592
2021-07-20 2021-07-20 4 IMGO Imago BioSciences, Inc.
Common Stock
C - Conversion 197,131 3,225,037 6.51
2021-07-20 2021-07-20 4 IMGO Imago BioSciences, Inc.
Common Stock
C - Conversion 1,155,689 3,027,906 61.73
2021-07-20 2021-07-20 4 IMGO Imago BioSciences, Inc.
Common Stock
C - Conversion 1,872,217 1,872,217
2021-07-12 3 ALIT Alight Group, Inc.
Class A common stock
88,505
2021-07-12 3 ALIT Alight Group, Inc.
Class A common stock
332
2021-07-12 3 ALIT Alight Group, Inc.
Class A common stock
957
2021-07-12 3 ALIT Alight Group, Inc.
Class A common stock
10,206
2021-07-12 3 ALIT Alight Group, Inc.
Class A common stock
54,733,898
2021-07-12 3 ALIT Alight Group, Inc.
Class V common stock
48,395,456
2021-07-12 3 ALIT Alight Group, Inc.
Class V common stock
181,572
2021-07-12 3 ALIT Alight Group, Inc.
Class V common stock
523,291
2021-07-12 3 ALIT Alight Group, Inc.
Class V common stock
5,580,752
2021-06-21 2021-06-17 4 EARN Ellington Residential Mortgage REIT
Common Stock
S - Sale -2,675,000 628,578 -80.97 12.80 -34,240,000 8,045,798
2021-06-17 2021-06-15 4 CYRX Cryoport, Inc.
Common Stock
S - Sale -4,560 29,377 -13.44 60.00 -273,600 1,762,620
2021-06-17 2021-06-15 4 CYRX Cryoport, Inc.
Common Stock
S - Sale -195,440 1,259,019 -13.44 60.00 -11,726,400 75,541,140
2021-06-17 2021-06-15 4 TASK TaskUs, Inc.
Class B Common Stock
C - Conversion -6,478,658 55,258,362 -10.49
2021-06-17 2021-06-15 4 TASK TaskUs, Inc.
Class A Common Stock
S - Sale -6,478,658 0 -100.00 21.74 -140,813,632
2021-06-17 2021-06-15 4 TASK TaskUs, Inc.
Class A Common Stock
C - Conversion 6,478,658 6,478,658
2021-06-16 2021-06-14 4 APR Apria, Inc.
Common Stock
S - Sale -5,175,000 19,037,042 -21.37 25.38 -131,341,500 483,160,126
2021-06-11 2021-06-09 4 CYRX Cryoport, Inc.
Common Stock
S - Sale -11,401 33,937 -25.15 60.00 -684,060 2,036,220
2021-06-11 2021-06-09 4 CYRX Cryoport, Inc.
Common Stock
S - Sale -488,599 1,454,459 -25.15 60.00 -29,315,940 87,267,540
2021-06-09 2021-06-07 4 CQP Cheniere Energy Partners, L.P.
Common Units
J - Other -215 2,011,447 -0.01
2021-06-09 2021-06-07 4 CQP Cheniere Energy Partners, L.P.
Common Units
J - Other -19,868 185,808,450 -0.01
2021-06-09 2021-06-07 4 CQP Cheniere Energy Partners, L.P.
Common Units
J - Other -241 2,250,419 -0.01
2021-06-08 2021-06-06 4 VVNT Vivint Smart Home, Inc.
Class A Common Stock
J - Other -153,213 104,536,629 -0.15
2021-05-14 2021-05-11 4 TALS Talaris Therapeutics, Inc.
Series B Convertible Preferred Stock
C - Conversion -135,334 0 -100.00
2021-05-14 2021-05-11 4 TALS Talaris Therapeutics, Inc.
Series B Convertible Preferred Stock
C - Conversion -676,774 0 -100.00
2021-05-14 2021-05-11 4 TALS Talaris Therapeutics, Inc.
Series B Convertible Preferred Stock
C - Conversion -366,918 0 -100.00
2021-05-14 2021-05-11 4 TALS Talaris Therapeutics, Inc.
Series B Convertible Preferred Stock
C - Conversion -562,891 0 -100.00
2021-05-14 2021-05-11 4 TALS Talaris Therapeutics, Inc.
Series B Convertible Preferred Stock
C - Conversion -278,707 0 -100.00
2021-05-14 2021-05-11 4 TALS Talaris Therapeutics, Inc.
Series B Convertible Preferred Stock
C - Conversion -696,767 0 -100.00
2021-05-14 2021-05-11 4 TALS Talaris Therapeutics, Inc.
Series A-1 Convertible Preferred Stock
C - Conversion -717,160 0 -100.00
2021-05-14 2021-05-11 4 TALS Talaris Therapeutics, Inc.
Series A-1 Convertible Preferred Stock
C - Conversion -3,586,364 0 -100.00
2021-05-14 2021-05-11 4 TALS Talaris Therapeutics, Inc.
Series A-1 Convertible Preferred Stock
C - Conversion -1,944,371 0 -100.00
2021-05-14 2021-05-11 4 TALS Talaris Therapeutics, Inc.
Series A-1 Convertible Preferred Stock
C - Conversion -2,982,874 0 -100.00
2021-05-14 2021-05-11 4 TALS Talaris Therapeutics, Inc.
Series A-1 Convertible Preferred Stock
C - Conversion -1,476,924 0 -100.00
2021-05-14 2021-05-11 4 TALS Talaris Therapeutics, Inc.
Series A-1 Convertible Preferred Stock
C - Conversion -3,692,307 0 -100.00
2021-05-14 2021-05-11 4 TALS Talaris Therapeutics, Inc.
Series A Convertible Preferred Stock
C - Conversion -26,000,000 0 -100.00
2021-05-14 2021-05-11 4 TALS Talaris Therapeutics, Inc.
Common Stock
P - Purchase 701 160,044 0.44 17.00 11,917 2,720,748
2021-05-14 2021-05-11 4 TALS Talaris Therapeutics, Inc.
Common Stock
P - Purchase 3,507 800,353 0.44 17.00 59,619 13,606,001
2021-05-14 2021-05-11 4 TALS Talaris Therapeutics, Inc.
Common Stock
P - Purchase 1,902 433,917 0.44 17.00 32,334 7,376,589
2021-05-14 2021-05-11 4 TALS Talaris Therapeutics, Inc.
Common Stock
P - Purchase 2,917 665,676 0.44 17.00 49,589 11,316,492
2021-05-14 2021-05-11 4 TALS Talaris Therapeutics, Inc.
Common Stock
P - Purchase 1,444 329,598 0.44 17.00 24,548 5,603,166
2021-05-14 2021-05-11 4 TALS Talaris Therapeutics, Inc.
Common Stock
P - Purchase 3,611 823,997 0.44 17.00 61,387 14,007,949
2021-05-14 2021-05-11 4 TALS Talaris Therapeutics, Inc.
Common Stock
P - Purchase 15,918 4,875,730 0.33 17.00 270,606 82,887,410
2021-05-14 2021-05-11 4 TALS Talaris Therapeutics, Inc.
Common Stock
C - Conversion 25,296 159,343 18.87
2021-05-14 2021-05-11 4 TALS Talaris Therapeutics, Inc.
Common Stock
C - Conversion 126,499 796,846 18.87
2021-05-14 2021-05-11 4 TALS Talaris Therapeutics, Inc.
Common Stock
C - Conversion 68,582 432,015 18.87
2021-05-14 2021-05-11 4 TALS Talaris Therapeutics, Inc.
Common Stock
C - Conversion 105,213 662,759 18.87
2021-05-14 2021-05-11 4 TALS Talaris Therapeutics, Inc.
Common Stock
C - Conversion 52,094 328,154 18.87
2021-05-14 2021-05-11 4 TALS Talaris Therapeutics, Inc.
Common Stock
C - Conversion 130,236 820,386 18.87
2021-05-14 2021-05-11 4 TALS Talaris Therapeutics, Inc.
Common Stock
C - Conversion 134,047 134,047
2021-05-14 2021-05-11 4 TALS Talaris Therapeutics, Inc.
Common Stock
C - Conversion 670,347 670,347
2021-05-14 2021-05-11 4 TALS Talaris Therapeutics, Inc.
Common Stock
C - Conversion 363,433 363,433
2021-05-14 2021-05-11 4 TALS Talaris Therapeutics, Inc.
Common Stock
C - Conversion 557,546 557,546
2021-05-14 2021-05-11 4 TALS Talaris Therapeutics, Inc.
Common Stock
C - Conversion 276,060 276,060
2021-05-14 2021-05-11 4 TALS Talaris Therapeutics, Inc.
Common Stock
C - Conversion 690,150 690,150
2021-05-14 2021-05-11 4 TALS Talaris Therapeutics, Inc.
Common Stock
C - Conversion 4,859,812 4,859,812
2021-04-28 3/A BMBL Bumble Inc.
Class A Common Stock
48,965,240
2021-04-28 3/A BMBL Bumble Inc.
Class A Common Stock
21,211,476
2021-04-28 3/A BMBL Bumble Inc.
Class A Common Stock
3,558,660
2021-04-28 3/A BMBL Bumble Inc.
Class A Common Stock
7,949,090
2021-04-28 3/A BMBL Bumble Inc.
Class A Common Stock
23,258
2021-04-28 3/A BMBL Bumble Inc.
Class B Common Stock
1
2021-04-28 3/A BMBL Bumble Inc.
Class B Common Stock
1
2021-04-28 3/A BMBL Bumble Inc.
Class B Common Stock
1
2021-04-28 2021-02-16 4/A BMBL Bumble Inc.
Common Units of Buzz Holdings L.P.
S - Sale -41,890 84,848 -33.05 41.06 -1,720,213 3,484,283
2021-04-28 2021-02-16 4/A BMBL Bumble Inc.
Common Units of Buzz Holdings L.P.
S - Sale -191,822 388,538 -33.05 41.06 -7,877,170 15,955,313
2021-04-28 2021-02-16 4/A BMBL Bumble Inc.
Common Units of Buzz Holdings L.P.
S - Sale -21,267,747 43,054,866 -33.06 41.06 -873,360,031 1,768,048,072
2021-04-28 2021-02-16 4/A BMBL Bumble Inc.
Class A Common Stock
S - Sale -2,627,352 5,321,738 -33.05 41.06 -107,892,210 218,537,171
2021-04-28 2021-02-16 4/A BMBL Bumble Inc.
Class A Common Stock
S - Sale -1,176,217 2,382,443 -33.05 41.06 -48,301,351 97,835,022
2021-04-28 2021-02-16 4/A BMBL Bumble Inc.
Class A Common Stock
S - Sale -7,010,867 14,200,609 -33.05 41.06 -287,901,253 583,148,009
2021-04-28 2021-02-16 4/A BMBL Bumble Inc.
Class A Common Stock
S - Sale -16,184,106 32,781,134 -33.05 41.06 -664,600,313 1,346,157,268
2021-04-28 2021-04-26 4 N/A Blackstone Real Estate Income Fund II
Advisor Class I Common Shares of Beneficial Interest
J - Other -34 27 -56.04 841.92 -28,457 22,325
2021-04-28 2021-04-26 4 N/A Blackstone Real Estate Income Fund II
Institutional Class II Common Shares of Beneficial Interest
J - Other -8,422 6,788 -55.37 852.05 -7,175,848 5,783,832
2021-04-28 2021-04-26 4 N/A Blackstone Real Estate Income Fund
Common Shares of Beneficial Interest
J - Other -7,728 6,579 -54.01 873.44 -6,750,020 5,746,638
2021-04-12 3 NSCO Custom Truck One Source, Inc.
Common Stock
2,932,195
2021-04-12 3 NSCO Custom Truck One Source, Inc.
Common Stock
3,622,088
2021-04-12 3 NSCO Custom Truck One Source, Inc.
Common Stock
351,593
2021-04-12 3 NSCO Custom Truck One Source, Inc.
Common Stock
179,835
2021-04-12 3 NSCO Custom Truck One Source, Inc.
Common Stock
3,492,069
2021-04-12 3 NSCO Custom Truck One Source, Inc.
Common Stock
3,576,281
2021-04-12 3 NSCO Custom Truck One Source, Inc.
Common Stock
17,360
2021-04-05 2020-06-01 4 PACK Ranpak Holdings Corp.
Warrant (right to buy)
P - Purchase 39,200 2,380,800 1.67 1.31 51,368 3,119,800
2021-04-05 2020-06-01 4 PACK Ranpak Holdings Corp.
Warrant (right to buy)
S - Sale -39,200 179,200 -17.95 1.31 -51,368 234,824
2021-04-05 2020-06-01 4 PACK Ranpak Holdings Corp.
Warrant (right to buy)
P - Purchase 140,000 2,341,600 6.36 0.94 132,300 2,212,812
2021-04-05 2020-06-01 4 PACK Ranpak Holdings Corp.
Warrant (right to buy)
S - Sale -140,000 218,400 -39.06 0.94 -132,300 206,388
2021-04-05 2020-06-01 4 PACK Ranpak Holdings Corp.
Class A Common Stock
P - Purchase 36,750 4,208,250 0.88 6.82 250,484 28,683,011
2021-04-05 2020-06-01 4 PACK Ranpak Holdings Corp.
Class A Common Stock
S - Sale -36,750 316,750 -10.40 6.82 -250,484 2,158,936
2021-04-05 2020-06-01 4 PACK Ranpak Holdings Corp.
Class A Common Stock
P - Purchase 280,000 4,171,500 7.20 7.49 2,097,200 31,244,535
2021-04-05 2020-06-01 4 PACK Ranpak Holdings Corp.
Class A Common Stock
S - Sale -280,000 353,500 -44.20 7.49 -2,097,200 2,647,715
2021-04-05 2020-09-04 4/A PACK Ranpak Holdings Corp.
Warrant (right to buy)
J - Other -179,200 0 -100.00
2021-04-05 2020-09-04 4/A PACK Ranpak Holdings Corp.
Warrant (right to buy)
J - Other -2,380,800 0 -100.00
2021-04-05 2020-09-04 4/A PACK Ranpak Holdings Corp.
Class A Common Stock
J - Other 39,424 356,174 12.45
2021-04-05 2020-09-04 4/A PACK Ranpak Holdings Corp.
Class A Common Stock
J - Other 523,776 4,732,026 12.45
2021-04-05 3 FOA Finance of America Companies Inc.
Class A Common Stock
2,022,766
2021-04-05 3 FOA Finance of America Companies Inc.
Class A Common Stock
11,612
2021-04-05 3 FOA Finance of America Companies Inc.
Class A Common Stock
23,066,495
2021-04-05 3 FOA Finance of America Companies Inc.
Class B Common Stock
1
2021-04-05 3 FOA Finance of America Companies Inc.
Class B Common Stock
1
2021-03-26 2021-03-24 4 CQP Cheniere Energy Partners, L.P.
Common Units
S - Sale -462,922 0 -100.00 37.00 -17,128,114
2021-03-26 2021-03-24 4 CQP Cheniere Energy Partners, L.P.
Common Units
S - Sale -953,855 0 -100.00 37.00 -35,292,635
2021-03-26 2021-03-24 4 CQP Cheniere Energy Partners, L.P.
Common Units
S - Sale -953,855 0 -100.00 37.00 -35,292,635
2021-03-24 2021-03-22 4 VEI VINE ENERGY INC.
Class A Common Stock
P - Purchase 8,152 145,715 5.93 13.30 108,422 1,938,010
2021-03-24 2021-03-22 4 VEI VINE ENERGY INC.
Class A Common Stock
P - Purchase 21,787 22,468 3,199.27 13.30 289,767 298,824
2021-03-24 2021-03-22 4 VEI VINE ENERGY INC.
Class A Common Stock
P - Purchase 556,887 7,082,421 8.53 13.30 7,406,597 94,196,199
2021-03-24 2021-03-22 4 VEI VINE ENERGY INC.
Class A Common Stock
P - Purchase 1,409,507 1,465,969 2,496.38 13.30 18,746,443 19,497,388
2021-03-24 2021-03-22 4 VEI VINE ENERGY INC.
Class A Common Stock
P - Purchase 808,762 10,276,529 8.54 13.30 10,756,535 136,677,836
2021-03-24 2021-03-22 4 VEI VINE ENERGY INC.
Class A Common Stock
P - Purchase 1,479,905 1,537,048 2,589.83 13.30 19,682,736 20,442,738
2021-03-17 3 VEI VINE ENERGY INC.
Class A Common Stock
57,143
2021-03-17 3 VEI VINE ENERGY INC.
Class A Common Stock
9,467,767
2021-03-17 3 VEI VINE ENERGY INC.
Class A Common Stock
56,462
2021-03-17 3 VEI VINE ENERGY INC.
Class A Common Stock
6,525,534
2021-03-17 3 VEI VINE ENERGY INC.
Class A Common Stock
681
2021-03-17 3 VEI VINE ENERGY INC.
Class A Common Stock
137,563
2021-03-17 3 VEI VINE ENERGY INC.
Class B Common Stock
17,437,592
2021-03-17 3 VEI VINE ENERGY INC.
Class B Common Stock
16,649,664
2021-03-17 3 VEI VINE ENERGY INC.
Class B Common Stock
201,852
2021-03-04 2021-03-02 4 GTES Gates Industrial Corp plc
Ordinary Shares
S - Sale -38,527 333,013 -10.37 14.40 -554,789 4,795,387
2021-03-04 2021-03-02 4 GTES Gates Industrial Corp plc
Ordinary Shares
S - Sale -11,251,860 97,257,607 -10.37 14.40 -162,026,784 1,400,509,541
2021-03-04 2021-03-02 4 GTES Gates Industrial Corp plc
Ordinary Shares
S - Sale -11,636,258 100,580,217 -10.37 14.40 -167,562,115 1,448,355,125
2021-03-04 2021-03-02 4 GTES Gates Industrial Corp plc
Ordinary Shares
S - Sale -2,373,355 20,514,545 -10.37 14.40 -34,176,312 295,409,448
2021-02-18 2021-02-16 4 BMBL Bumble Inc.
Common Units of Buzz Holdings L.P.
S - Sale -20,852 42,217 -33.06 41.06 -856,287 1,733,641
2021-02-18 2021-02-16 4 BMBL Bumble Inc.
Common Units of Buzz Holdings L.P.
S - Sale -191,822 388,538 -33.05 41.06 -7,877,170 15,955,313
2021-02-18 2021-02-16 4 BMBL Bumble Inc.
Common Units of Buzz Holdings L.P.
S - Sale -23,488,478 47,553,007 -33.06 41.06 -964,554,349 1,952,764,232
2021-02-18 2021-02-16 4 BMBL Bumble Inc.
Class A Common Stock
S - Sale -2,589,946 5,245,973 -33.05 41.06 -106,356,132 215,425,881
2021-02-18 2021-02-16 4 BMBL Bumble Inc.
Class A Common Stock
S - Sale -1,457,332 2,951,847 -33.05 41.06 -59,845,339 121,217,597
2021-02-18 2021-02-16 4 BMBL Bumble Inc.
Class A Common Stock
S - Sale -6,426,070 13,016,095 -33.05 41.06 -263,886,565 534,505,941
2021-02-18 2021-02-16 4 BMBL Bumble Inc.
Class A Common Stock
S - Sale -14,325,500 29,016,501 -33.05 41.06 -588,276,658 1,191,562,614
2021-02-18 2021-02-16 4 APR Apria, Inc.
Common Stock
S - Sale -8,625,000 24,212,042 -26.27 18.60 -160,425,000 450,343,981
2021-02-12 3 BMBL Bumble Inc.
Class A Common Stock
43,342,001
2021-02-12 3 BMBL Bumble Inc.
Class A Common Stock
19,442,165
2021-02-12 3 BMBL Bumble Inc.
Class A Common Stock
4,409,179
2021-02-12 3 BMBL Bumble Inc.
Class A Common Stock
7,835,919
2021-02-12 3 BMBL Bumble Inc.
Class A Common Stock
23,256
2021-02-12 3 BMBL Bumble Inc.
Class B Common Stock
1
2021-02-12 3 BMBL Bumble Inc.
Class B Common Stock
1
2021-02-12 3 BMBL Bumble Inc.
Class B Common Stock
1
2021-02-11 3 APR Apria, Inc.
Common Stock
32,837,042
2021-02-09 2021-02-05 4 CYRX Cryoport, Inc.
4.0% Series C Convertible Preferred Stock
C - Conversion -1,140 4,561 -20.00
2021-02-09 2021-02-05 4 CYRX Cryoport, Inc.
4.0% Series C Convertible Preferred Stock
C - Conversion -48,860 195,439 -20.00
2021-02-09 2021-02-05 4 CYRX Cryoport, Inc.
Common Stock
C - Conversion 29,933 45,338 194.31
2021-02-09 2021-02-05 4 CYRX Cryoport, Inc.
Common Stock
C - Conversion 1,282,927 1,943,058 194.34
2021-02-02 2021-01-29 4 TW Tradeweb Markets Inc.
Class D Common Stock
S - Sale -22,988,329 0 -100.00
2021-02-02 2021-01-29 4 TW Tradeweb Markets Inc.
Non-voting common units of Tradeweb Markets LLC
S - Sale -22,988,329 0 -100.00
2021-02-02 2021-01-29 4 TW Tradeweb Markets Inc.
Class B Common Stock
S - Sale -96,933,192 0 -100.00
2021-01-26 2021-01-22 4 N/A Blackstone Real Estate Income Fund
Common Shares of Beneficial Interest
J - Other -1,954 14,307 -12.02 821.68 -1,605,776 11,756,096
2021-01-26 2021-01-22 4 N/A Blackstone Real Estate Income Fund II
Advisor Class I Common Shares of Beneficial Interest
J - Other -9 60 -12.47 792.15 -6,805 47,782
2021-01-26 2021-01-22 4 N/A Blackstone Real Estate Income Fund II
Institutional Class II Common Shares of Beneficial Interest
J - Other -2,137 15,210 -12.32 801.68 -1,712,918 12,193,537
2021-01-11 2021-01-07 4 NONE Blackstone Private Credit Fund
Class I Common Shares of Beneficial Interest
P - Purchase 997,940 1,000,000 48,443.69 25.00 24,948,500 25,000,000
2021-01-06 2021-01-04 4 CQP Cheniere Energy Partners, L.P.
Common Units
J - Other 10,995 48,544 29.28
2021-01-06 2021-01-04 4 CQP Cheniere Energy Partners, L.P.
Common Units
J - Other 31,430 138,772 29.28
2021-01-06 2021-01-04 4 CQP Cheniere Energy Partners, L.P.
Common Units
J - Other -42,425 2,250,419 -1.85
2021-01-06 2021-01-04 4 CQP Cheniere Energy Partners, L.P.
Common Units
P - Purchase 42,425 2,292,844 1.89 34.93 1,481,905 80,089,041
2021-01-05 2020-12-31 4 CQP Cheniere Energy Partners, L.P.
Common Units
J - Other 18,538 37,549 97.51
2021-01-05 2020-12-31 4 CQP Cheniere Energy Partners, L.P.
Common Units
J - Other 52,994 107,342 97.51
2021-01-05 2020-12-31 4 CQP Cheniere Energy Partners, L.P.
Common Units
J - Other -71,532 2,250,419 -3.08
2021-01-05 2020-12-31 4 CQP Cheniere Energy Partners, L.P.
Common Units
P - Purchase 20,360 2,321,951 0.88 35.43 721,355 82,266,724
2021-01-05 2020-12-31 4 CQP Cheniere Energy Partners, L.P.
Common Units
P - Purchase 51,172 2,301,591 2.27 34.77 1,779,250 80,026,319
2020-12-31 2020-12-30 4 CQP Cheniere Energy Partners, L.P.
Common Units
J - Other 19,011 19,011
2020-12-31 2020-12-30 4 CQP Cheniere Energy Partners, L.P.
Common Units
J - Other 54,348 54,348
2020-12-31 2020-12-30 4 CQP Cheniere Energy Partners, L.P.
Common Units
J - Other -73,359 2,250,419 -3.16
2020-12-31 2020-12-30 4 CQP Cheniere Energy Partners, L.P.
Common Units
P - Purchase 46,101 2,323,778 2.02 34.14 1,573,888 79,333,781
2020-12-31 2020-12-30 4 CQP Cheniere Energy Partners, L.P.
Common Units
P - Purchase 27,258 2,277,677 1.21 33.71 918,867 76,780,492
2020-10-23 2020-10-21 4 NONE Blackstone Private Credit Fund
Class I Common Shares of Beneficial Interest
P - Purchase 2,000 2,060 3,333.33 25.00 50,000 51,500
2020-10-22 2020-10-20 4 PRAX Praxis Precision Medicines, Inc.
Series C-1 Redeemable Convertible Preferred Stock
C - Conversion -352,734 0 -100.00
2020-10-22 2020-10-20 4 PRAX Praxis Precision Medicines, Inc.
Series C Redeemable Convertible Preferred Stock
C - Conversion -1,941,748 0 -100.00
2020-10-22 2020-10-20 4 PRAX Praxis Precision Medicines, Inc.
Series C Redeemable Convertible Preferred Stock
C - Conversion -559,208 0 -100.00
2020-10-22 2020-10-20 4 PRAX Praxis Precision Medicines, Inc.
Series B-1 Redeemable Convertible Preferred Stock
C - Conversion -1,410,477 0 -100.00
2020-10-22 2020-10-20 4 PRAX Praxis Precision Medicines, Inc.
Series B Redeemable Convertible Preferred Stock
C - Conversion -5,052,852 0 -100.00
2020-10-22 2020-10-20 4 PRAX Praxis Precision Medicines, Inc.
Series A Redeemable Convertible Preferred Stock
C - Conversion -7,375,799 0 -100.00
2020-10-22 2020-10-20 4 PRAX Praxis Precision Medicines, Inc.
Common Stock
C - Conversion 164,832 7,594,109 2.22
2020-10-22 2020-10-20 4 PRAX Praxis Precision Medicines, Inc.
Common Stock
C - Conversion 907,378 907,378
2020-10-22 2020-10-20 4 PRAX Praxis Precision Medicines, Inc.
Common Stock
C - Conversion 261,318 7,429,277 3.65
2020-10-22 2020-10-20 4 PRAX Praxis Precision Medicines, Inc.
Common Stock
C - Conversion 659,116 7,167,959 10.13
2020-10-22 2020-10-20 4 PRAX Praxis Precision Medicines, Inc.
Common Stock
C - Conversion 2,361,198 6,508,843 56.93
2020-10-22 2020-10-20 4 PRAX Praxis Precision Medicines, Inc.
Common Stock
C - Conversion 3,446,711 4,147,645 491.73
2020-10-15 3 PRAX Praxis Precision Medicines, Inc.
Common Stock
700,934
2020-10-14 3 RUN Sunrun Inc.
Common Stock
18,302,287
2020-10-14 3 RUN Sunrun Inc.
Common Stock
5,879,710
2020-10-14 3 RUN Sunrun Inc.
Common Stock
9,267
2020-10-14 3 RUN Sunrun Inc.
Common Stock
111,404
2020-10-14 2020-10-12 4 RUN Sunrun Inc.
Common Stock
S - Sale -36,672 74,732 -32.92 60.25 -2,209,488 4,502,603
2020-10-14 2020-10-12 4 RUN Sunrun Inc.
Common Stock
S - Sale -3,050 6,217 -32.91 60.25 -183,762 374,574
2020-10-14 2020-10-12 4 RUN Sunrun Inc.
Common Stock
S - Sale -1,935,494 3,944,216 -32.92 60.25 -116,613,514 237,639,014
2020-10-14 2020-10-12 4 RUN Sunrun Inc.
Common Stock
S - Sale -6,024,784 12,277,503 -32.92 60.25 -362,993,236 739,719,556
2020-10-13 3 CYRX Cryoport, Inc.
Common Stock
660,131
2020-10-13 3 CYRX Cryoport, Inc.
Common Stock
15,405
2020-10-13 2020-10-08 4 VSLR Vivint Solar, Inc.
Common Stock
J - Other -57,917,967 0 -100.00
2020-10-05 2020-10-01 4 MIK Michaels Companies, Inc.
Common Stock
S - Sale -255,444 265,496 -49.04 10.02 -2,559,549 2,660,270
2020-10-05 2020-10-01 4 MIK Michaels Companies, Inc.
Common Stock
S - Sale -336,652 349,900 -49.04 10.02 -3,373,253 3,505,998
2020-10-05 2020-10-01 4 MIK Michaels Companies, Inc.
Common Stock
S - Sale -22,953 23,857 -49.03 10.02 -229,989 239,047
2020-10-05 2020-10-01 4 MIK Michaels Companies, Inc.
Common Stock
S - Sale -108,137 112,392 -49.04 10.02 -1,083,533 1,126,168
2020-10-05 2020-10-01 4 MIK Michaels Companies, Inc.
Common Stock
S - Sale -1,726,777 1,794,732 -49.04 10.02 -17,302,306 17,983,215
2020-10-05 2020-10-01 4 MIK Michaels Companies, Inc.
Common Stock
S - Sale -7,550,037 7,847,154 -49.04 10.02 -75,651,371 78,628,483
2020-10-05 3 NONE Blackstone Private Credit Fund
Class I Common Shares of Beneficial Interest
60
2020-10-01 2020-09-29 4 GRAY GRAYBUG VISION, INC.
Series C Preferred Stock
C - Conversion -395,068 0 -100.00
2020-10-01 2020-09-29 4 GRAY GRAYBUG VISION, INC.
Series B Preferred Stock
C - Conversion -1,285,327 0 -100.00
2020-10-01 2020-09-29 4 GRAY GRAYBUG VISION, INC.
Common Stock
P - Purchase 250,000 1,930,395 14.88 16.00 4,000,000 30,886,320
2020-10-01 2020-09-29 4 GRAY GRAYBUG VISION, INC.
Common Stock
C - Conversion 395,068 1,680,395 30.74
2020-10-01 2020-09-29 4 GRAY GRAYBUG VISION, INC.
Common Stock
C - Conversion 1,285,327 1,285,327
2020-10-01 3 EPIX ESSA Pharma Inc.
Common Shares
3,573,053
2020-09-28 2020-09-24 4 CQP Cheniere Energy Partners, L.P.
Common Units
J - Other -13,170,436 203,240,752 -6.09
2020-09-28 2020-09-24 4 CQP Cheniere Energy Partners, L.P.
Common Units
J - Other -101,600,052 203,240,752 -33.33
2020-09-21 2020-09-17 4 VVNT Vivint Smart Home, Inc.
Earnout Rights
C - Conversion -9,633,858 0 -100.00
2020-09-21 2020-09-17 4 VVNT Vivint Smart Home, Inc.
Class A Common Stock
C - Conversion 9,633,858 107,366,330 9.86
2020-09-04 2020-09-04 4 PACK Ranpak Holdings Corp.
Warrant (right to buy)
J - Other -358,400 0 -100.00
2020-09-04 2020-09-04 4 PACK Ranpak Holdings Corp.
Warrant (right to buy)
J - Other -2,201,600 0 -100.00
2020-09-04 2020-09-04 4 PACK Ranpak Holdings Corp.
Class A Common Stock
J - Other 78,848 712,348 12.45
2020-09-04 2020-09-04 4 PACK Ranpak Holdings Corp.
Class A Common Stock
J - Other 484,352 4,375,852 12.45
2020-08-24 2020-08-21 4 VSLR Vivint Solar, Inc.
Common Stock
S - Sale -11,627,907 57,917,967 -16.72 21.50 -250,000,000 1,245,236,290
2020-07-30 2020-07-28 4 ANNX Annexon, Inc.
Series D Redeemable Convertible Preferred Stock
C - Conversion -2,109,407 0 -100.00
2020-07-30 2020-07-28 4 ANNX Annexon, Inc.
Series C Redeemable Convertible Preferred Stock
C - Conversion -6,148,147 0 -100.00
2020-07-30 2020-07-28 4 ANNX Annexon, Inc.
Series B Redeemable Convertible Preferred Stock
C - Conversion -8,370,685 0 -100.00
2020-07-30 2020-07-28 4 ANNX Annexon, Inc.
Series A-1 Redeemable Convertible Preferred Stock
C - Conversion -5,666,667 0 -100.00
2020-07-30 2020-07-28 4 ANNX Annexon, Inc.
Common Stock
P - Purchase 200,000 2,730,635 7.90 17.00 3,400,000 46,420,795
2020-07-30 2020-07-28 4 ANNX Annexon, Inc.
Common Stock
C - Conversion 239,433 2,530,635 10.45
2020-07-30 2020-07-28 4 ANNX Annexon, Inc.
Common Stock
C - Conversion 697,860 2,291,202 43.80
2020-07-30 2020-07-28 4 ANNX Annexon, Inc.
Common Stock
C - Conversion 950,134 1,593,342 147.72
2020-07-30 2020-07-28 4 ANNX Annexon, Inc.
Common Stock
C - Conversion 643,208 643,208
2020-07-21 2020-07-18 4 VSLR Vivint Solar, Inc.
Common Stock
J - Other -73,683 69,545,874 -0.11
2020-06-15 2020-06-15 4 EARN Ellington Residential Mortgage REIT
Common Stock
P - Purchase 200 3,303,578 0.01 10.09 2,018 33,333,102
2020-06-15 2020-06-12 4 EARN Ellington Residential Mortgage REIT
Common Stock
P - Purchase 14,633 3,303,378 0.44 10.23 149,696 33,793,557
2020-06-15 2020-06-11 4 EARN Ellington Residential Mortgage REIT
Common Stock
P - Purchase 32,179 3,288,745 0.99 9.95 320,181 32,723,013
2020-06-04 2020-06-04 4 EARN Ellington Residential Mortgage REIT
Common Stock
P - Purchase 2,703 3,256,566 0.08 9.91 26,787 32,272,569
2020-06-04 2020-06-03 4 EARN Ellington Residential Mortgage REIT
Common Stock
P - Purchase 17,637 3,253,863 0.54 9.89 174,430 32,180,705
2020-06-04 2020-06-02 4 EARN Ellington Residential Mortgage REIT
Common Stock
P - Purchase 26,331 3,236,226 0.82 9.75 256,727 31,553,204
2020-06-03 2020-06-01 4 FG FGL Holdings
Ordinary Shares
S - Sale -24,016 0 -100.00
2020-06-03 2020-06-01 4 FG FGL Holdings
Ordinary Shares
S - Sale -113,921 0 -100.00
2020-06-03 2020-06-01 4 FG FGL Holdings
Ordinary Shares
S - Sale -52,541 0 -100.00
2020-06-03 2020-06-01 4 FG FGL Holdings
Ordinary Shares
S - Sale -165,079 0 -100.00
2020-06-03 2020-06-01 4 FG FGL Holdings
Ordinary Shares
S - Sale -50,912 0 -100.00
2020-06-03 2020-06-01 4 FG FGL Holdings
Ordinary Shares
S - Sale -1,442,118 0 -100.00
2020-06-03 2020-06-01 4 FG FGL Holdings
Ordinary Shares
S - Sale -4,147,302 0 -100.00
2020-06-03 2020-06-01 4 FG FGL Holdings
Ordinary Shares
S - Sale -142,111 0 -100.00
2020-06-03 2020-06-01 4 FG FGL Holdings
Ordinary Shares
S - Sale -42,743 0 -100.00
2020-06-03 2020-06-01 4 FG FGL Holdings
Ordinary Shares
S - Sale -22,500,000 0 -100.00
2020-06-03 2020-06-01 4 FG FGL Holdings
Ordinary Shares
S - Sale -16,620,850 0 -100.00
2020-06-01 2020-06-01 4 EARN Ellington Residential Mortgage REIT
Common Stock
P - Purchase 19,700 3,209,895 0.62 9.77 192,469 31,360,674
2020-06-01 2020-05-29 4 EARN Ellington Residential Mortgage REIT
Common Stock
P - Purchase 23,569 3,190,195 0.74 9.55 225,084 30,466,362
2020-06-01 2020-05-28 4 EARN Ellington Residential Mortgage REIT
Common Stock
P - Purchase 23,569 3,166,626 0.75 9.68 228,148 30,652,940
2020-05-27 2020-05-27 4 EARN Ellington Residential Mortgage REIT
Common Stock
P - Purchase 15,200 3,143,057 0.49 9.69 147,288 30,456,222
2020-05-27 2020-05-26 4 EARN Ellington Residential Mortgage REIT
Common Stock
P - Purchase 12,300 3,127,857 0.39 9.73 119,679 30,434,049
2020-05-27 2020-05-22 4 EARN Ellington Residential Mortgage REIT
Common Stock
P - Purchase 12,300 3,115,557 0.40 9.42 115,866 29,348,547
2020-05-26 2020-05-22 4 GTES Gates Industrial Corp plc
Ordinary Shares
P - Purchase 13,000 2,402,208 0.54 9.56 124,280 22,965,108
2020-05-26 2020-05-21 4 GTES Gates Industrial Corp plc
Ordinary Shares
P - Purchase 700 2,389,208 0.03 9.73 6,811 23,246,994
2020-05-20 2020-05-20 4 GTES Gates Industrial Corp plc
Ordinary Shares
P - Purchase 12,500 2,388,508 0.53 9.65 120,625 23,049,102
2020-05-20 2020-05-18 4 GTES Gates Industrial Corp plc
Ordinary Shares
P - Purchase 100,300 2,376,008 4.41 9.54 956,862 22,667,116
2020-05-15 2020-05-15 4 GTES Gates Industrial Corp plc
Ordinary Shares
P - Purchase 81,500 2,275,708 3.71 8.68 707,420 19,753,145
2020-05-15 2020-05-14 4 GTES Gates Industrial Corp plc
Ordinary Shares
P - Purchase 81,500 2,194,208 3.86 8.63 703,345 18,936,015
2020-05-15 2020-05-13 4 GTES Gates Industrial Corp plc
Ordinary Shares
P - Purchase 81,500 2,112,708 4.01 8.85 721,275 18,697,466
2020-05-12 2020-05-12 4 GTES Gates Industrial Corp plc
Ordinary Shares
P - Purchase 81,500 2,031,208 4.18 9.06 738,390 18,402,744
2020-05-12 2020-05-11 4 GTES Gates Industrial Corp plc
Ordinary Shares
P - Purchase 81,500 1,949,708 4.36 8.98 731,870 17,508,378
2020-05-12 2020-05-08 4 GTES Gates Industrial Corp plc
Ordinary Shares
P - Purchase 69,000 1,868,208 3.84 8.67 598,230 16,197,363
2020-04-17 2020-04-17 4 TGE Tallgrass Energy, LP
Class A shares
P - Purchase 152,770,061 0 -100.00 22.45 3,429,687,869
2020-03-25 2020-03-23 4 CQP Cheniere Energy Partners, L.P.
Common Units
P - Purchase 156,792 2,250,419 7.49 21.85 3,426,407 49,178,856
2020-03-23 2020-03-20 4 CQP Cheniere Energy Partners, L.P.
Common Units
P - Purchase 166,310 2,093,627 8.63 21.66 3,601,443 45,337,493
2020-03-23 2020-03-19 4 CQP Cheniere Energy Partners, L.P.
Common Units
P - Purchase 81,429 1,927,317 4.41 20.51 1,670,198 39,531,392
2020-03-23 2020-03-19 4 CQP Cheniere Energy Partners, L.P.
Common Units
P - Purchase 154,728 1,845,888 9.15 20.24 3,132,020 37,364,649
2020-03-18 2020-03-17 4 CQP Cheniere Energy Partners, L.P.
Common Units
P - Purchase 62,209 1,691,160 3.82 25.93 1,613,073 43,851,610
2020-03-18 2020-03-17 4 CQP Cheniere Energy Partners, L.P.
Common Units
P - Purchase 273,497 1,628,951 20.18 24.99 6,834,143 40,704,228
2020-03-18 2020-03-16 4 CQP Cheniere Energy Partners, L.P.
Common Units
P - Purchase 484,211 1,355,454 55.58 26.36 12,763,511 35,728,954
2020-03-18 2020-03-16 4 CQP Cheniere Energy Partners, L.P.
Common Units
P - Purchase 126,198 871,243 16.94 25.78 3,253,851 22,463,868
2020-03-16 2020-03-13 4 CQP Cheniere Energy Partners, L.P.
Common Units
P - Purchase 8,640 745,045 1.17 26.96 232,898 20,083,284
2020-03-16 2020-03-13 4 CQP Cheniere Energy Partners, L.P.
Common Units
P - Purchase 60,347 736,405 8.93 26.22 1,582,461 19,310,527
2020-03-16 2020-03-12 4 CQP Cheniere Energy Partners, L.P.
Common Units
P - Purchase 202,919 676,058 42.89 26.33 5,342,066 17,797,971
2020-03-16 2020-03-12 4 CQP Cheniere Energy Partners, L.P.
Common Units
P - Purchase 131,046 473,139 38.31 25.54 3,346,627 12,082,929
2020-03-13 2020-03-13 4 GTES Gates Industrial Corp plc
Ordinary Shares
P - Purchase 3,325 1,799,208 0.19 8.39 27,897 15,095,355
2020-03-13 2020-03-13 4 GTES Gates Industrial Corp plc
Ordinary Shares
P - Purchase 86,675 1,795,883 5.07 7.80 676,065 14,007,887
2020-03-13 2020-03-12 4 GTES Gates Industrial Corp plc
Ordinary Shares
P - Purchase 90,000 1,709,208 5.56 8.17 735,300 13,964,229
2020-03-13 2020-03-11 4 GTES Gates Industrial Corp plc
Ordinary Shares
P - Purchase 90,000 1,619,208 5.89 8.97 807,300 14,524,296
2020-03-13 2020-03-11 4 VVNT Vivint Smart Home, Inc.
Class A Common Stock
C - Conversion 9,542,680 97,732,396 10.82
2020-03-13 2020-02-26 4 VVNT Vivint Smart Home, Inc.
Earnout Rights
C - Conversion -9,542,472 9,542,472 -50.00
2020-03-12 2020-03-11 4 CQP Cheniere Energy Partners, L.P.
Common Units
P - Purchase 1,777 342,093 0.52 28.25 50,199 9,663,854
2020-03-12 2020-03-11 4 CQP Cheniere Energy Partners, L.P.
Common Units
P - Purchase 12,554 340,316 3.83 27.47 344,902 9,349,672
2020-03-12 2020-03-10 4 CQP Cheniere Energy Partners, L.P.
Common Units
P - Purchase 7,567 327,762 2.36 27.91 211,194 9,147,805
2020-03-12 2020-03-10 4 CQP Cheniere Energy Partners, L.P.
Common Units
P - Purchase 1,281 320,195 0.40 26.67 34,168 8,540,593
2020-03-12 2020-03-10 4 CQP Cheniere Energy Partners, L.P.
Common Units
P - Purchase 318,914 318,914 25.72 8,203,489 8,203,489
2020-03-10 2020-03-10 4 GTES Gates Industrial Corp plc
Ordinary Shares
P - Purchase 90,000 1,529,208 6.25 9.24 831,600 14,129,882
2020-03-10 2020-03-09 4 GTES Gates Industrial Corp plc
Ordinary Shares
P - Purchase 85,000 1,439,208 6.28 9.05 769,250 13,024,832
2020-03-10 2020-03-06 4 GTES Gates Industrial Corp plc
Ordinary Shares
P - Purchase 75,400 1,354,208 5.90 9.47 714,038 12,824,350
2020-02-28 2020-02-26 4 VVNT Vivint Smart Home, Inc.
Earnout Rights
C - Conversion -9,538,597 19,077,194 -33.33
2020-02-28 2020-02-26 4 VVNT Vivint Smart Home, Inc.
Class A Common Stock
C - Conversion 9,538,597 88,189,716 12.13
2020-02-24 3 ATCX ATLAS TECHNICAL CONSULTANTS, INC.
Class A Common Stock
4,400,000
2020-02-24 3 ATCX ATLAS TECHNICAL CONSULTANTS, INC.
Class A Common Stock
4,400,000
2020-02-24 3 ATCX ATLAS TECHNICAL CONSULTANTS, INC.
Class A Common Stock
4,400,000
2020-02-24 3 ATCX ATLAS TECHNICAL CONSULTANTS, INC.
Class A Common Stock
4,400,000
2020-02-24 3 ATCX ATLAS TECHNICAL CONSULTANTS, INC.
Class A Common Stock
4,400,000
2020-02-24 3 ATCX ATLAS TECHNICAL CONSULTANTS, INC.
Class A Common Stock
4,400,000
2020-02-24 3 ATCX ATLAS TECHNICAL CONSULTANTS, INC.
Class A Common Stock
4,400,000
2020-02-24 3 ATCX ATLAS TECHNICAL CONSULTANTS, INC.
Class A Common Stock
4,400,000
2020-02-24 3 ATCX ATLAS TECHNICAL CONSULTANTS, INC.
Class A Common Stock
4,400,000
2020-02-24 3 ATCX ATLAS TECHNICAL CONSULTANTS, INC.
Class A Common Stock
4,400,000
2020-02-03 2020-01-02 4 FG FGL Holdings
Ordinary Shares
J - Other 11,927 42,743 38.70
2020-01-27 3 VVNT Vivint Smart Home, Inc.
Class A Common Stock
167,302,238
2020-01-27 3 VVNT Vivint Smart Home, Inc.
Class A Common Stock
98,646,903
2020-01-27 3 VVNT Vivint Smart Home, Inc.
Class A Common Stock
88,655,335
2020-01-27 3 VVNT Vivint Smart Home, Inc.
Class A Common Stock
167,302,238
2020-01-27 3 VVNT Vivint Smart Home, Inc.
Class A Common Stock
98,646,903
2020-01-27 3 VVNT Vivint Smart Home, Inc.
Class A Common Stock
88,655,335
2020-01-27 3 VVNT Vivint Smart Home, Inc.
Class A Common Stock
167,302,238
2020-01-27 3 VVNT Vivint Smart Home, Inc.
Class A Common Stock
98,646,903
2020-01-27 3 VVNT Vivint Smart Home, Inc.
Class A Common Stock
88,655,335
2020-01-27 3 VVNT Vivint Smart Home, Inc.
Class A Common Stock
167,302,238
2020-01-27 3 VVNT Vivint Smart Home, Inc.
Class A Common Stock
98,646,903
2020-01-27 3 VVNT Vivint Smart Home, Inc.
Class A Common Stock
88,655,335
2020-01-27 3 VVNT Vivint Smart Home, Inc.
Class A Common Stock
167,302,238
2020-01-27 3 VVNT Vivint Smart Home, Inc.
Class A Common Stock
98,646,903
2020-01-27 3 VVNT Vivint Smart Home, Inc.
Class A Common Stock
88,655,335
2020-01-27 3 VVNT Vivint Smart Home, Inc.
Class A Common Stock
167,302,238
2020-01-27 3 VVNT Vivint Smart Home, Inc.
Class A Common Stock
98,646,903
2020-01-27 3 VVNT Vivint Smart Home, Inc.
Class A Common Stock
88,655,335
2020-01-27 3 VVNT Vivint Smart Home, Inc.
Class A Common Stock
167,302,238
2020-01-27 3 VVNT Vivint Smart Home, Inc.
Class A Common Stock
98,646,903
2020-01-27 3 VVNT Vivint Smart Home, Inc.
Class A Common Stock
88,655,335
2020-01-27 3 VVNT Vivint Smart Home, Inc.
Class A Common Stock
167,302,238
2020-01-27 3 VVNT Vivint Smart Home, Inc.
Class A Common Stock
98,646,903
2020-01-27 3 VVNT Vivint Smart Home, Inc.
Class A Common Stock
88,655,335
2020-01-22 2020-01-17 4 VSLR Vivint Solar, Inc.
Common Stock
J - Other -4,739,817 69,619,557 -6.37
2019-12-04 2019-12-03 4 KODK EASTMAN KODAK CO
Common Stock
S - Sale -1,226,470 0 -100.00 2.50 -3,066,175
2019-12-04 2019-12-03 4 KODK EASTMAN KODAK CO
Common Stock
S - Sale -986,236 0 -100.00 2.50 -2,465,590
2019-12-04 2019-12-03 4 KODK EASTMAN KODAK CO
Common Stock
S - Sale -6,103,867 0 -100.00 2.50 -15,259,668
2019-12-04 2019-12-03 4 KODK EASTMAN KODAK CO
Common Stock
S - Sale -285,769 0 -100.00 2.50 -714,422
2019-12-04 2019-12-03 4 KODK EASTMAN KODAK CO
Common Stock
S - Sale -272,869 0 -100.00 2.50 -682,172
2019-11-27 2019-11-26 4 INVH Invitation Homes Inc.
Common Stock
S - Sale -4,720,172 29,651 -99.38 30.05 -141,841,169 891,013
2019-11-27 2019-11-26 4 INVH Invitation Homes Inc.
Common Stock
S - Sale -3,984,790 33,223 -99.17 30.05 -119,742,940 998,351
2019-11-27 2019-11-26 4 INVH Invitation Homes Inc.
Common Stock
S - Sale -5,212,503 39,106 -99.26 30.05 -156,635,715 1,175,135
2019-11-27 2019-11-26 4 INVH Invitation Homes Inc.
Common Stock
S - Sale -8,888,562 20,353 -99.77 30.05 -267,101,288 611,608
2019-11-27 2019-11-26 4 INVH Invitation Homes Inc.
Common Stock
S - Sale -2,251,159 21,051 -99.07 30.05 -67,647,328 632,583
2019-11-27 2019-11-26 4 INVH Invitation Homes Inc.
Common Stock
S - Sale -11,494,129 0 -100.00 30.05 -345,398,576
2019-11-27 2019-11-26 4 INVH Invitation Homes Inc.
Common Stock
S - Sale -21,048,685 157,068 -99.26 30.05 -632,512,984 4,719,893
2019-11-14 2019-11-12 4 GRTX Galera Therapeutics, Inc.
Series C Redeemable Convertible Preferred Stock
C - Conversion -561,385 0 -100.00
2019-11-14 2019-11-12 4 GRTX Galera Therapeutics, Inc.
Series C Redeemable Convertible Preferred Stock
C - Conversion -2,807,372 0 -100.00
2019-11-14 2019-11-12 4 GRTX Galera Therapeutics, Inc.
Series C Redeemable Convertible Preferred Stock
C - Conversion -1,552,035 0 -100.00
2019-11-14 2019-11-12 4 GRTX Galera Therapeutics, Inc.
Series C Redeemable Convertible Preferred Stock
C - Conversion -2,334,966 0 -100.00
2019-11-14 2019-11-12 4 GRTX Galera Therapeutics, Inc.
Common Stock
P - Purchase 19,423 130,444 17.49 12.00 233,076 1,565,328
2019-11-14 2019-11-12 4 GRTX Galera Therapeutics, Inc.
Common Stock
P - Purchase 97,131 652,324 17.49 12.00 1,165,572 7,827,888
2019-11-14 2019-11-12 4 GRTX Galera Therapeutics, Inc.
Common Stock
P - Purchase 52,660 353,661 17.49 12.00 631,920 4,243,932
2019-11-14 2019-11-12 4 GRTX Galera Therapeutics, Inc.
Common Stock
P - Purchase 80,786 542,555 17.49 12.00 969,432 6,510,660
2019-11-14 2019-11-12 4 GRTX Galera Therapeutics, Inc.
Common Stock
C - Conversion 111,021 111,021
2019-11-14 2019-11-12 4 GRTX Galera Therapeutics, Inc.
Common Stock
C - Conversion 555,193 555,193
2019-11-14 2019-11-12 4 GRTX Galera Therapeutics, Inc.
Common Stock
C - Conversion 301,001 301,001
2019-11-14 2019-11-12 4 GRTX Galera Therapeutics, Inc.
Common Stock
C - Conversion 461,769 461,769
2019-11-08 2019-11-06 4 GRTX Galera Therapeutics, Inc.
Stock Options (Right to Buy)
J - Other 19,776 0 -100.00
2019-11-04 2019-11-04 4 CROX Crocs, Inc.
Common Stock
S - Sale -2,479 0 -100.00 35.54 -88,104
2019-11-04 2019-11-04 4 CROX Crocs, Inc.
Common Stock
S - Sale -17,137 0 -100.00 35.54 -609,049
2019-11-04 2019-11-04 4 CROX Crocs, Inc.
Common Stock
S - Sale -6,844,929 0 -100.00 35.54 -243,268,777
2019-11-04 3 CROX Crocs, Inc.
Common Stock
13,709,474
2019-11-04 3 CROX Crocs, Inc.
Common Stock
6,881,682
2019-11-04 3 CROX Crocs, Inc.
Common Stock
6,867,024
2019-11-04 3 CROX Crocs, Inc.
Common Stock
13,709,474
2019-11-04 3 CROX Crocs, Inc.
Common Stock
6,881,682
2019-11-04 3 CROX Crocs, Inc.
Common Stock
6,867,024
2019-11-04 3 CROX Crocs, Inc.
Common Stock
13,709,474
2019-11-04 3 CROX Crocs, Inc.
Common Stock
6,881,682
2019-11-04 3 CROX Crocs, Inc.
Common Stock
6,867,024
2019-11-04 3 CROX Crocs, Inc.
Common Stock
13,709,474
2019-11-04 3 CROX Crocs, Inc.
Common Stock
6,881,682
2019-11-04 3 CROX Crocs, Inc.
Common Stock
6,867,024
2019-11-04 3 CROX Crocs, Inc.
Common Stock
13,709,474
2019-11-04 3 CROX Crocs, Inc.
Common Stock
6,881,682
2019-11-04 3 CROX Crocs, Inc.
Common Stock
6,867,024
2019-11-04 3 CROX Crocs, Inc.
Common Stock
13,709,474
2019-11-04 3 CROX Crocs, Inc.
Common Stock
6,881,682
2019-11-04 3 CROX Crocs, Inc.
Common Stock
6,867,024
2019-11-04 3 CROX Crocs, Inc.
Common Stock
13,709,474
2019-11-04 3 CROX Crocs, Inc.
Common Stock
6,881,682
2019-11-04 3 CROX Crocs, Inc.
Common Stock
6,867,024
2019-11-04 3 CROX Crocs, Inc.
Common Stock
13,709,474
2019-11-04 3 CROX Crocs, Inc.
Common Stock
6,881,682
2019-11-04 3 CROX Crocs, Inc.
Common Stock
6,867,024
2019-11-04 3 CROX Crocs, Inc.
Common Stock
13,709,474
2019-11-04 3 CROX Crocs, Inc.
Common Stock
6,881,682
2019-11-04 3 CROX Crocs, Inc.
Common Stock
6,867,024
2019-11-04 3 CROX Crocs, Inc.
Common Stock
13,709,474
2019-11-04 3 CROX Crocs, Inc.
Common Stock
6,881,682
2019-11-04 3 CROX Crocs, Inc.
Common Stock
6,867,024
2019-11-04 3 CROX Crocs, Inc.
Common Stock
13,709,474
2019-11-04 3 CROX Crocs, Inc.
Common Stock
6,881,682
2019-11-04 3 CROX Crocs, Inc.
Common Stock
6,867,024
2019-11-04 3 CROX Crocs, Inc.
Common Stock
13,709,474
2019-11-04 3 CROX Crocs, Inc.
Common Stock
6,881,682
2019-11-04 3 CROX Crocs, Inc.
Common Stock
6,867,024
2019-10-03 2019-10-01 4 TGE Tallgrass Energy, LP
TE units
J - Other 5,575,045 7,876,328 242.26
2019-10-03 2019-10-01 4 TGE Tallgrass Energy, LP
TE units
J - Other -5,575,045 92,778,793 -5.67
2019-10-03 2019-10-01 4 TGE Tallgrass Energy, LP
Class B shares
J - Other 5,575,045 7,876,328 242.26
2019-10-03 2019-10-01 4 TGE Tallgrass Energy, LP
Class B shares
J - Other -5,575,045 92,778,793 -5.67
2019-10-03 2019-10-01 4 TGE Tallgrass Energy, LP
Class A shares
J - Other -537 1,127,935 -0.05
2019-10-03 2019-10-01 4 TGE Tallgrass Energy, LP
Class A shares
J - Other -399 773,510 -0.05
2019-09-25 2019-09-23 4 INVH Invitation Homes Inc.
Common Stock
S - Sale -3,612,142 4,749,823 -43.20 28.18 -101,790,162 133,850,012
2019-09-25 2019-09-23 4 INVH Invitation Homes Inc.
Common Stock
S - Sale -3,047,698 4,018,013 -43.13 28.18 -85,884,130 113,227,606
2019-09-25 2019-09-23 4 INVH Invitation Homes Inc.
Common Stock
S - Sale -3,985,695 5,251,609 -43.15 28.18 -112,316,885 147,990,342
2019-09-25 2019-09-23 4 INVH Invitation Homes Inc.
Common Stock
S - Sale -6,800,952 8,908,915 -43.29 28.18 -191,650,827 251,053,225
2019-09-25 2019-09-23 4 INVH Invitation Homes Inc.
Common Stock
S - Sale -1,721,311 2,272,210 -43.10 28.18 -48,506,544 64,030,878
2019-09-25 2019-09-23 4 INVH Invitation Homes Inc.
Common Stock
S - Sale -8,797,037 11,494,129 -43.35 28.18 -247,900,503 323,904,555
2019-09-25 2019-09-23 4 INVH Invitation Homes Inc.
Common Stock
S - Sale -16,035,165 21,205,753 -43.06 28.18 -451,870,950 597,578,120
2019-09-23 2019-09-20 4 NCR NCR CORP
Series A Convertible Preferred Stock
C - Conversion -239 0 -100.00
2019-09-23 2019-09-20 4 NCR NCR CORP
Series A Convertible Preferred Stock
C - Conversion -69,372 0 -100.00
2019-09-23 2019-09-20 4 NCR NCR CORP
Series A Convertible Preferred Stock
C - Conversion -404 0 -100.00
2019-09-23 2019-09-20 4 NCR NCR CORP
Series A Convertible Preferred Stock
C - Conversion -204,533 0 -100.00
2019-09-23 2019-09-20 4 NCR NCR CORP
Series A Convertible Preferred Stock
S - Sale -207 239 -46.40
2019-09-23 2019-09-20 4 NCR NCR CORP
Series A Convertible Preferred Stock
S - Sale -60,055 69,372 -46.40
2019-09-23 2019-09-20 4 NCR NCR CORP
Series A Convertible Preferred Stock
S - Sale -349 404 -46.40
2019-09-23 2019-09-20 4 NCR NCR CORP
Series A Convertible Preferred Stock
S - Sale -177,062 204,533 -46.40
2019-09-23 2019-09-20 4 NCR NCR CORP
Common Stock
S - Sale -7,968 0 -100.00 32.75 -260,952
2019-09-23 2019-09-20 4 NCR NCR CORP
Common Stock
S - Sale -2,312,643 0 -100.00 32.75 -75,739,058
2019-09-23 2019-09-20 4 NCR NCR CORP
Common Stock
S - Sale -13,409 0 -100.00 32.75 -439,145
2019-09-23 2019-09-20 4 NCR NCR CORP
Common Stock
S - Sale -6,795,946 0 -100.00 32.75 -222,567,232
2019-09-23 2019-09-20 4 NCR NCR CORP
Common Stock
J - Other -10 7,968 -0.13
2019-09-23 2019-09-20 4 NCR NCR CORP
Common Stock
J - Other -2,887 2,312,643 -0.12
2019-09-23 2019-09-20 4 NCR NCR CORP
Common Stock
J - Other -62 13,409 -0.46
2019-09-23 2019-09-20 4 NCR NCR CORP
Common Stock
J - Other -31,031 6,795,946 -0.45
2019-09-23 2019-09-20 4 NCR NCR CORP
Common Stock
C - Conversion 7,968 7,978 79,680.00
2019-09-23 2019-09-20 4 NCR NCR CORP
Common Stock
C - Conversion 2,312,386 2,315,530 73,549.17
2019-09-23 2019-09-20 4 NCR NCR CORP
Common Stock
C - Conversion 13,453 13,453
2019-09-23 2019-09-20 4 NCR NCR CORP
Common Stock
C - Conversion 6,817,706 6,826,977 73,537.98
2019-09-05 2019-09-03 4 FG FGL Holdings
Ordinary Shares
P - Purchase 78,266 16,620,850 0.47 7.93 620,649 131,803,340
2019-08-30 2019-08-30 4 FG FGL Holdings
Ordinary Shares
P - Purchase 37,898 16,542,584 0.23 8.01 303,563 132,506,098
2019-08-30 2019-08-29 4 FG FGL Holdings
Ordinary Shares
P - Purchase 45,043 16,504,686 0.27 8.03 361,695 132,532,629
2019-08-30 2019-08-28 4 FG FGL Holdings
Ordinary Shares
P - Purchase 84,107 16,459,643 0.51 7.93 666,969 130,524,969
2019-08-27 2019-08-27 4 FG FGL Holdings
Ordinary Shares
P - Purchase 103,585 16,375,536 0.64 7.93 821,429 129,858,000
2019-08-27 2019-08-26 4 FG FGL Holdings
Ordinary Shares
P - Purchase 73,503 16,271,951 0.45 8.00 588,024 130,175,608
2019-08-27 2019-08-23 4 FG FGL Holdings
Ordinary Shares
P - Purchase 112,065 16,198,448 0.70 7.92 887,555 128,291,708
2019-08-22 2019-08-22 4 FG FGL Holdings
Ordinary Shares
P - Purchase 119,339 16,086,383 0.75 7.99 953,519 128,530,200
2019-08-22 2019-08-21 4 FG FGL Holdings
Ordinary Shares
P - Purchase 76,432 15,967,044 0.48 7.80 596,170 124,542,943
2019-08-22 2019-08-20 4 FG FGL Holdings
Ordinary Shares
P - Purchase 134,118 15,890,612 0.85 7.56 1,013,932 120,133,027
2019-08-19 2019-08-19 4 FG FGL Holdings
Ordinary Shares
P - Purchase 77,743 15,756,494 0.50 7.80 606,395 122,900,653
2019-08-19 2019-08-16 4 FG FGL Holdings
Ordinary Shares
P - Purchase 72,894 15,678,751 0.47 7.67 559,097 120,256,020
2019-08-19 2019-08-15 4 FG FGL Holdings
Ordinary Shares
P - Purchase 91,977 15,605,857 0.59 7.34 675,111 114,546,990
2019-08-14 2019-08-14 4 FG FGL Holdings
Ordinary Shares
P - Purchase 79,368 15,513,880 0.51 7.07 561,132 109,683,132
2019-08-14 2019-08-13 4 FG FGL Holdings
Ordinary Shares
P - Purchase 57,712 15,434,512 0.38 7.34 423,606 113,289,318
2019-08-14 2019-08-12 4 FG FGL Holdings
Ordinary Shares
P - Purchase 60,394 15,376,800 0.39 7.40 446,916 113,788,320
2019-08-01 2019-07-30 4 TGE Tallgrass Energy, LP
TE units
C - Conversion -150,439 2,301,283 -6.14
2019-08-01 2019-07-30 4 TGE Tallgrass Energy, LP
TE units
C - Conversion -4,158,257 98,353,838 -4.06
2019-08-01 2019-07-30 4 TGE Tallgrass Energy, LP
Obligation to Transfer
C - Conversion -1 0 -100.00
2019-08-01 2019-07-30 4 TGE Tallgrass Energy, LP
Class B shares
C - Conversion -150,439 2,301,283 -6.14
2019-08-01 2019-07-30 4 TGE Tallgrass Energy, LP
Class B shares
C - Conversion -4,158,257 98,353,838 -4.06
2019-08-01 2019-07-30 4 TGE Tallgrass Energy, LP
Class A shares
C - Conversion -66,931 1,127,935 -5.60
2019-06-28 2019-06-26 4 INVH Invitation Homes Inc.
Common Stock
S - Sale -3,077,139 8,376,967 -26.86 27.43 -84,405,923 229,780,205
2019-06-28 2019-06-26 4 INVH Invitation Homes Inc.
Common Stock
S - Sale -2,596,858 7,081,659 -26.83 27.43 -71,231,815 194,249,906
2019-06-28 2019-06-26 4 INVH Invitation Homes Inc.
Common Stock
S - Sale -3,396,754 9,256,381 -26.85 27.43 -93,172,962 253,902,531
2019-06-28 2019-06-26 4 INVH Invitation Homes Inc.
Common Stock
S - Sale -5,799,303 15,719,858 -26.95 27.43 -159,074,881 431,195,705
2019-06-28 2019-06-26 4 INVH Invitation Homes Inc.
Common Stock
S - Sale -1,466,617 4,003,653 -26.81 27.43 -40,229,304 109,820,202
2019-06-28 2019-06-26 4 INVH Invitation Homes Inc.
Common Stock
S - Sale -7,503,395 20,291,166 -27.00 27.43 -205,818,125 556,586,683
2019-06-28 2019-06-26 4 INVH Invitation Homes Inc.
Common Stock
S - Sale -13,659,934 37,352,153 -26.78 27.43 -374,691,990 1,024,569,557
2019-06-27 3 CHNG Change Healthcare Inc.
Common Stock
93,298,377
2019-06-27 3 CHNG Change Healthcare Inc.
Common Stock
84,697,801
2019-06-27 3 CHNG Change Healthcare Inc.
Common Stock
59,625,687
2019-06-27 3 CHNG Change Healthcare Inc.
Common Stock
59,905,249
2019-06-27 3 CHNG Change Healthcare Inc.
Common Stock
60,194,404
2019-06-27 3 CHNG Change Healthcare Inc.
Common Stock
93,298,377
2019-06-27 3 CHNG Change Healthcare Inc.
Common Stock
84,697,801
2019-06-27 3 CHNG Change Healthcare Inc.
Common Stock
59,625,687
2019-06-27 3 CHNG Change Healthcare Inc.
Common Stock
59,905,249
2019-06-27 3 CHNG Change Healthcare Inc.
Common Stock
60,194,404
2019-06-27 3 CHNG Change Healthcare Inc.
Common Stock
93,298,377
2019-06-27 3 CHNG Change Healthcare Inc.
Common Stock
84,697,801
2019-06-27 3 CHNG Change Healthcare Inc.
Common Stock
59,625,687
2019-06-27 3 CHNG Change Healthcare Inc.
Common Stock
59,905,249
2019-06-27 3 CHNG Change Healthcare Inc.
Common Stock
60,194,404
2019-06-27 3 CHNG Change Healthcare Inc.
Common Stock
93,298,377
2019-06-27 3 CHNG Change Healthcare Inc.
Common Stock
84,697,801
2019-06-27 3 CHNG Change Healthcare Inc.
Common Stock
59,625,687
2019-06-27 3 CHNG Change Healthcare Inc.
Common Stock
59,905,249
2019-06-27 3 CHNG Change Healthcare Inc.
Common Stock
60,194,404
2019-06-27 3 CHNG Change Healthcare Inc.
Common Stock
93,298,377
2019-06-27 3 CHNG Change Healthcare Inc.
Common Stock
84,697,801
2019-06-27 3 CHNG Change Healthcare Inc.
Common Stock
59,625,687
2019-06-27 3 CHNG Change Healthcare Inc.
Common Stock
59,905,249
2019-06-27 3 CHNG Change Healthcare Inc.
Common Stock
60,194,404
2019-06-27 3 CHNG Change Healthcare Inc.
Common Stock
93,298,377
2019-06-27 3 CHNG Change Healthcare Inc.
Common Stock
84,697,801
2019-06-27 3 CHNG Change Healthcare Inc.
Common Stock
59,625,687
2019-06-27 3 CHNG Change Healthcare Inc.
Common Stock
59,905,249
2019-06-27 3 CHNG Change Healthcare Inc.
Common Stock
60,194,404
2019-06-27 3 CHNG Change Healthcare Inc.
Common Stock
93,298,377
2019-06-27 3 CHNG Change Healthcare Inc.
Common Stock
84,697,801
2019-06-27 3 CHNG Change Healthcare Inc.
Common Stock
59,625,687
2019-06-27 3 CHNG Change Healthcare Inc.
Common Stock
59,905,249
2019-06-27 3 CHNG Change Healthcare Inc.
Common Stock
60,194,404
2019-06-27 3 CHNG Change Healthcare Inc.
Common Stock
93,298,377
2019-06-27 3 CHNG Change Healthcare Inc.
Common Stock
84,697,801
2019-06-27 3 CHNG Change Healthcare Inc.
Common Stock
59,625,687
2019-06-27 3 CHNG Change Healthcare Inc.
Common Stock
59,905,249
2019-06-27 3 CHNG Change Healthcare Inc.
Common Stock
60,194,404
2019-06-27 3 CHNG Change Healthcare Inc.
Common Stock
93,298,377
2019-06-27 3 CHNG Change Healthcare Inc.
Common Stock
84,697,801
2019-06-27 3 CHNG Change Healthcare Inc.
Common Stock
59,625,687
2019-06-27 3 CHNG Change Healthcare Inc.
Common Stock
59,905,249
2019-06-27 3 CHNG Change Healthcare Inc.
Common Stock
60,194,404
2019-06-27 3 CHNG Change Healthcare Inc.
Common Stock
93,298,377
2019-06-27 3 CHNG Change Healthcare Inc.
Common Stock
84,697,801
2019-06-27 3 CHNG Change Healthcare Inc.
Common Stock
59,625,687
2019-06-27 3 CHNG Change Healthcare Inc.
Common Stock
59,905,249
2019-06-27 3 CHNG Change Healthcare Inc.
Common Stock
60,194,404
2019-06-27 3 CHNG Change Healthcare Inc.
Common Stock
93,298,377
2019-06-27 3 CHNG Change Healthcare Inc.
Common Stock
84,697,801
2019-06-27 3 CHNG Change Healthcare Inc.
Common Stock
59,625,687
2019-06-27 3 CHNG Change Healthcare Inc.
Common Stock
59,905,249
2019-06-27 3 CHNG Change Healthcare Inc.
Common Stock
60,194,404
2019-06-12 3/A TGE Tallgrass Energy, LP
Class A shares
21,751,018
2019-06-12 3/A TGE Tallgrass Energy, LP
Class B shares
98,203,399
2019-06-12 3/A TGE Tallgrass Energy, LP
Class B shares
2,451,722
2019-06-11 3 PACK Ranpak Holdings Corp.
Class A Common Stock
8,416,500
2019-06-11 3 PACK Ranpak Holdings Corp.
Class A Common Stock
5,158,500
2019-06-11 3 PACK Ranpak Holdings Corp.
Class A Common Stock
8,416,500
2019-06-11 3 PACK Ranpak Holdings Corp.
Class A Common Stock
5,158,500
2019-06-11 3 PACK Ranpak Holdings Corp.
Class A Common Stock
8,416,500
2019-06-11 3 PACK Ranpak Holdings Corp.
Class A Common Stock
5,158,500
2019-06-11 3 PACK Ranpak Holdings Corp.
Class A Common Stock
8,416,500
2019-06-11 3 PACK Ranpak Holdings Corp.
Class A Common Stock
5,158,500
2019-06-11 3 PACK Ranpak Holdings Corp.
Class A Common Stock
8,416,500
2019-06-11 3 PACK Ranpak Holdings Corp.
Class A Common Stock
5,158,500
2019-06-11 3 PACK Ranpak Holdings Corp.
Class A Common Stock
8,416,500
2019-06-11 3 PACK Ranpak Holdings Corp.
Class A Common Stock
5,158,500
2019-06-11 3 PACK Ranpak Holdings Corp.
Class A Common Stock
8,416,500
2019-06-11 3 PACK Ranpak Holdings Corp.
Class A Common Stock
5,158,500
2019-06-11 3 PACK Ranpak Holdings Corp.
Class A Common Stock
8,416,500
2019-06-11 3 PACK Ranpak Holdings Corp.
Class A Common Stock
5,158,500
2019-06-11 3 PACK Ranpak Holdings Corp.
Class A Common Stock
8,416,500
2019-06-11 3 PACK Ranpak Holdings Corp.
Class A Common Stock
5,158,500
2019-06-11 3 PACK Ranpak Holdings Corp.
Class A Common Stock
8,416,500
2019-06-11 3 PACK Ranpak Holdings Corp.
Class A Common Stock
5,158,500
2019-06-11 3 PACK Ranpak Holdings Corp.
Class A Common Stock
8,416,500
2019-06-11 3 PACK Ranpak Holdings Corp.
Class A Common Stock
5,158,500
2019-06-11 3 PACK Ranpak Holdings Corp.
Class A Common Stock
8,416,500
2019-06-11 3 PACK Ranpak Holdings Corp.
Class A Common Stock
5,158,500
2019-06-05 2019-06-03 4 INVH Invitation Homes Inc.
Common Stock
S - Sale -3,288,249 11,467,109 -22.29 25.21 -82,896,757 289,085,818
2019-06-05 2019-06-03 4 INVH Invitation Homes Inc.
Common Stock
S - Sale -2,771,535 9,706,094 -22.21 25.21 -69,870,397 244,690,630
2019-06-05 2019-06-03 4 INVH Invitation Homes Inc.
Common Stock
S - Sale -3,624,083 12,688,693 -22.22 25.21 -91,363,132 319,881,951
2019-06-05 2019-06-03 4 INVH Invitation Homes Inc.
Common Stock
S - Sale -6,185,782 21,537,132 -22.31 25.21 -155,943,564 542,951,098
2019-06-05 2019-06-03 4 INVH Invitation Homes Inc.
Common Stock
S - Sale -1,565,920 5,489,547 -22.19 25.21 -39,476,843 138,391,480
2019-06-05 2019-06-03 4 INVH Invitation Homes Inc.
Common Stock
S - Sale -8,001,642 27,794,561 -22.35 25.21 -201,721,395 700,700,883
2019-06-05 2019-06-03 4 INVH Invitation Homes Inc.
Common Stock
S - Sale -14,562,789 51,262,213 -22.12 25.21 -367,127,911 1,292,320,390
2019-05-10 2019-05-08 4 TGE Tallgrass Energy, LP
Class A Shares
P - Purchase X 71,184 1,127,935 6.74 24.22 1,724,076 27,318,586
2019-05-10 2019-05-08 4 TGE Tallgrass Energy, LP
Class A Shares
P - Purchase X 48,816 773,510 6.74 24.22 1,182,324 18,734,412
2019-05-07 2019-05-07 4 TGE Tallgrass Energy, LP
Class A Shares
P - Purchase X 43,007 1,056,751 4.24 24.27 1,043,780 25,647,347
2019-05-07 2019-05-07 4 TGE Tallgrass Energy, LP
Class A Shares
P - Purchase X 29,493 724,694 4.24 24.27 715,795 17,588,323
2019-05-07 2019-05-06 4 TGE Tallgrass Energy, LP
Class A Shares
P - Purchase X 39,151 1,013,744 4.02 24.15 945,497 24,481,918
2019-05-07 2019-05-06 4 TGE Tallgrass Energy, LP
Class A Shares
P - Purchase X 26,849 695,201 4.02 24.15 648,403 16,789,104
2019-05-07 2019-05-03 4 TGE Tallgrass Energy, LP
Class A Shares
P - Purchase X 50,659 974,593 5.48 23.96 1,213,790 23,351,248
2019-05-07 2019-05-03 4 TGE Tallgrass Energy, LP
Class A Shares
P - Purchase X 34,741 668,352 5.48 23.96 832,394 16,013,714
2019-05-02 2019-05-02 4 TGE Tallgrass Energy, LP
Class A Shares
P - Purchase X 86,014 923,934 10.27 23.77 2,044,553 21,961,911
2019-05-02 2019-05-02 4 TGE Tallgrass Energy, LP
Class A Shares
P - Purchase X 58,986 633,611 10.27 23.77 1,402,097 15,060,933
2019-05-02 2019-05-01 4 TGE Tallgrass Energy, LP
Class A Shares
P - Purchase X 71,396 837,920 9.31 23.92 1,707,792 20,043,046
2019-05-02 2019-05-01 4 TGE Tallgrass Energy, LP
Class A Shares
P - Purchase X 48,962 574,625 9.31 23.92 1,171,171 13,745,030
2019-05-02 2019-04-30 4 TGE Tallgrass Energy, LP
Class A Shares
P - Purchase X 65,252 766,524 9.30 24.15 1,575,836 18,511,555
2019-05-02 2019-04-30 4 TGE Tallgrass Energy, LP
Class A Shares
P - Purchase X 44,748 525,663 9.30 24.15 1,080,664 12,694,761
2019-04-29 2019-04-29 4 TGE Tallgrass Energy, LP
Class A Shares
P - Purchase X 65,845 701,272 10.36 24.20 1,593,449 16,970,782
2019-04-29 2019-04-29 4 TGE Tallgrass Energy, LP
Class A Shares
P - Purchase X 45,155 480,915 10.36 24.20 1,092,751 11,638,143
2019-04-29 2019-04-26 4 TGE Tallgrass Energy, LP
Class A Shares
P - Purchase X 89,039 635,427 16.30 24.47 2,178,784 15,548,899
2019-04-29 2019-04-26 4 TGE Tallgrass Energy, LP
Class A Shares
P - Purchase X 61,061 435,760 16.30 24.47 1,494,163 10,663,047
2019-04-29 2019-04-25 4 TGE Tallgrass Energy, LP
Class A Shares
P - Purchase X 42,177 546,388 8.36 24.45 1,031,228 13,359,187
2019-04-29 2019-04-25 4 TGE Tallgrass Energy, LP
Class A Shares
P - Purchase X 28,923 374,699 8.36 24.45 707,167 9,161,391
2019-04-24 2019-04-24 4 TGE Tallgrass Energy, LP
Class A Shares
P - Purchase X 18,326 504,211 3.77 24.49 448,804 12,348,127
2019-04-24 2019-04-24 4 TGE Tallgrass Energy, LP
Class A Shares
P - Purchase X 12,568 345,776 3.77 24.49 307,790 8,468,054
2019-04-24 2019-04-23 4 TGE Tallgrass Energy, LP
Class A Shares
P - Purchase X 7,750 485,885 1.62 24.49 189,798 11,899,324
2019-04-24 2019-04-23 4 TGE Tallgrass Energy, LP
Class A Shares
P - Purchase X 5,314 333,208 1.62 24.49 130,140 8,160,264
2019-04-24 2019-04-22 4 TGE Tallgrass Energy, LP
Class A Shares
P - Purchase X 237 478,135 0.05 24.49 5,804 11,709,526
2019-04-24 2019-04-22 4 TGE Tallgrass Energy, LP
Class A Shares
P - Purchase X 163 327,894 0.05 24.49 3,992 8,030,124
2019-04-19 2019-04-18 4 TGE Tallgrass Energy, LP
Class A Shares
P - Purchase X 75,692 477,898 18.82 24.40 1,846,885 11,660,711
2019-04-19 2019-04-18 4 TGE Tallgrass Energy, LP
Class A Shares
P - Purchase X 51,908 327,731 18.82 24.40 1,266,555 7,996,636
2019-04-19 2019-04-17 4 TGE Tallgrass Energy, LP
Class A Shares
P - Purchase X 1,614 402,206 0.40 24.49 39,527 9,850,025
2019-04-19 2019-04-17 4 TGE Tallgrass Energy, LP
Class A Shares
P - Purchase X 1,106 275,823 0.40 24.49 27,086 6,754,905
2019-04-19 2019-01-02 4 FG FGL Holdings
Ordinary Shares
J - Other 18,328 30,816 146.76
2019-04-11 2019-04-11 4 TGE Tallgrass Energy, LP
Class A Shares
P - Purchase X 15,911 400,592 4.14 24.50 389,820 9,814,504
2019-04-11 2019-04-11 4 TGE Tallgrass Energy, LP
Class A Shares
P - Purchase X 10,912 274,717 4.14 24.50 267,344 6,730,566
2019-04-11 2019-04-10 4 TGE Tallgrass Energy, LP
Class A Shares
P - Purchase X 3,802 384,681 1.00 24.49 93,111 9,420,838
2019-04-11 2019-04-10 4 TGE Tallgrass Energy, LP
Class A Shares
P - Purchase X 2,608 263,805 1.00 24.49 63,870 6,460,584
2019-04-11 2019-04-09 4 TGE Tallgrass Energy, LP
Class A Shares
P - Purchase X 27,466 380,879 7.77 24.48 672,368 9,323,918
2019-04-11 2019-04-09 4 TGE Tallgrass Energy, LP
Class A Shares
P - Purchase X 18,835 261,197 7.77 24.48 461,081 6,394,103
2019-03-29 2019-03-27 4 TGE Tallgrass Energy, LP
Class A Shares
P - Purchase 183,294 353,413 107.74 23.76 4,355,065 8,397,093
2019-03-29 2019-03-27 4 TGE Tallgrass Energy, LP
Class A Shares
P - Purchase 125,698 242,362 107.74 23.76 2,986,584 5,758,521
2019-03-27 2019-03-25 4 INVH Invitation Homes Inc.
Common Stock
S - Sale -3,293,385 14,755,358 -18.25 23.22 -76,472,400 342,619,413
2019-03-27 2019-03-25 4 INVH Invitation Homes Inc.
Common Stock
S - Sale -2,773,242 12,477,629 -18.18 23.22 -64,394,679 289,730,545
2019-03-27 2019-03-25 4 INVH Invitation Homes Inc.
Common Stock
S - Sale -3,625,333 16,312,776 -18.18 23.22 -84,180,232 378,782,659
2019-03-27 2019-03-25 4 INVH Invitation Homes Inc.
Common Stock
S - Sale -6,185,794 27,722,914 -18.24 23.22 -143,634,137 643,726,063
2019-03-27 2019-03-25 4 INVH Invitation Homes Inc.
Common Stock
S - Sale -1,564,279 7,055,467 -18.15 23.22 -36,322,558 163,827,944
2019-03-27 2019-03-25 4 INVH Invitation Homes Inc.
Common Stock
S - Sale -8,000,928 35,796,203 -18.27 23.22 -185,781,548 831,187,834
2019-03-27 2019-03-25 4 INVH Invitation Homes Inc.
Common Stock
S - Sale -14,557,039 65,825,002 -18.11 23.22 -338,014,446 1,528,456,546
2019-03-27 2019-03-25 4 TGE Tallgrass Energy, LP
Class A Shares
P - Purchase X 415 170,119 0.24 24.50 10,168 4,167,916
2019-03-27 2019-03-25 4 TGE Tallgrass Energy, LP
Class A Shares
P - Purchase X 285 116,664 0.24 24.50 6,982 2,858,268
2019-03-22 2019-03-22 4 NSTG NanoString Technologies Inc
Common Stock
S - Sale -2,000,000 2,036,025 -49.55 21.62 -43,240,000 44,018,860
2019-03-21 2019-03-19 4 TGE Tallgrass Energy, LP
Class A Shares
P - Purchase X 939 167,704 0.56 24.49 22,996 4,107,071
2019-03-21 2019-03-19 4 TGE Tallgrass Energy, LP
Class A Shares
P - Purchase X 644 116,379 0.56 24.49 15,772 2,850,122
2019-03-18 3 TGE Tallgrass Energy, LP
Class A shares
144,157,157
2019-03-18 3 TGE Tallgrass Energy, LP
Class B shares
220,473,321
2019-03-18 3 TGE Tallgrass Energy, LP
Class B shares
124,994,078
2019-03-18 3 TGE Tallgrass Energy, LP
Class A shares
144,157,157
2019-03-18 3 TGE Tallgrass Energy, LP
Class B shares
220,473,321
2019-03-18 3 TGE Tallgrass Energy, LP
Class B shares
124,994,078
2019-03-18 3 TGE Tallgrass Energy, LP
Class A shares
144,157,157
2019-03-18 3 TGE Tallgrass Energy, LP
Class B shares
220,473,321
2019-03-18 3 TGE Tallgrass Energy, LP
Class B shares
124,994,078
2019-03-18 3 TGE Tallgrass Energy, LP
Class A shares
144,157,157
2019-03-18 3 TGE Tallgrass Energy, LP
Class B shares
220,473,321
2019-03-18 3 TGE Tallgrass Energy, LP
Class B shares
124,994,078
2019-03-18 3 TGE Tallgrass Energy, LP
Class A shares
144,157,157
2019-03-18 3 TGE Tallgrass Energy, LP
Class B shares
220,473,321
2019-03-18 3 TGE Tallgrass Energy, LP
Class B shares
124,994,078
2019-03-18 3 TGE Tallgrass Energy, LP
Class A shares
144,157,157
2019-03-18 3 TGE Tallgrass Energy, LP
Class B shares
220,473,321
2019-03-18 3 TGE Tallgrass Energy, LP
Class B shares
124,994,078
2019-03-18 3 TGE Tallgrass Energy, LP
Class A shares
144,157,157
2019-03-18 3 TGE Tallgrass Energy, LP
Class B shares
220,473,321
2019-03-18 3 TGE Tallgrass Energy, LP
Class B shares
124,994,078
2019-03-18 3 TGE Tallgrass Energy, LP
Class A shares
144,157,157
2019-03-18 3 TGE Tallgrass Energy, LP
Class B shares
220,473,321
2019-03-18 3 TGE Tallgrass Energy, LP
Class B shares
124,994,078
2019-03-18 2019-03-18 4 TGE Tallgrass Energy, LP
Class A Shares
P - Purchase X 44,490 168,765 35.80 24.16 1,074,878 4,077,362
2019-03-18 2019-03-18 4 TGE Tallgrass Energy, LP
Class A Shares
P - Purchase X 30,510 115,735 35.80 24.16 737,122 2,796,158
2019-03-18 2019-03-15 4 TGE Tallgrass Energy, LP
Class A Shares
P - Purchase X 59,320 124,275 91.32 24.14 1,431,985 2,999,998
2019-03-18 2019-03-15 4 TGE Tallgrass Energy, LP
Class A Shares
P - Purchase X 40,680 85,225 91.32 24.14 982,015 2,057,332
2019-03-18 2019-03-14 4 TGE Tallgrass Energy, LP
Class A Shares
P - Purchase X 64,955 64,955 23.95 1,555,672 1,555,672
2019-03-18 2019-03-14 4 TGE Tallgrass Energy, LP
Class A Shares
P - Purchase X 44,545 44,545 23.95 1,066,853 1,066,853
2019-03-01 2019-02-27 4 KOS Kosmos Energy Ltd.
Common Shares
S - Sale -61,149 74,078 -45.22 6.51 -398,080 482,248
2019-03-01 2019-02-27 4 KOS Kosmos Energy Ltd.
Common Shares
S - Sale -450,353 545,566 -45.22 6.51 -2,931,798 3,551,635
2019-03-01 2019-02-27 4 KOS Kosmos Energy Ltd.
Common Shares
S - Sale -542,401 657,075 -45.22 6.51 -3,531,031 4,277,558
2019-03-01 2019-02-27 4 KOS Kosmos Energy Ltd.
Common Shares
S - Sale -344,132 416,888 -45.22 6.51 -2,240,299 2,713,941
2019-03-01 2019-02-27 4 KOS Kosmos Energy Ltd.
Common Shares
S - Sale -21,101,965 25,563,334 -45.22 6.51 -137,373,792 166,417,304
2019-01-15 3 NSTG NanoString Technologies Inc
Common Stock
8,072,050
2019-01-15 3 NSTG NanoString Technologies Inc
Common Stock
8,072,050
2019-01-15 3 NSTG NanoString Technologies Inc
Common Stock
8,072,050
2019-01-15 3 NSTG NanoString Technologies Inc
Common Stock
8,072,050
2019-01-15 3 NSTG NanoString Technologies Inc
Common Stock
8,072,050
2019-01-15 3 NSTG NanoString Technologies Inc
Common Stock
8,072,050
2019-01-15 3 NSTG NanoString Technologies Inc
Common Stock
8,072,050
2019-01-15 3 NSTG NanoString Technologies Inc
Common Stock
8,072,050
2019-01-15 3 FTSV Forty Seven, Inc.
Common Stock
7,633,902
2019-01-15 3 FTSV Forty Seven, Inc.
Common Stock
7,633,902
2019-01-15 3 FTSV Forty Seven, Inc.
Common Stock
7,633,902
2019-01-15 3 FTSV Forty Seven, Inc.
Common Stock
7,633,902
2019-01-15 3 FTSV Forty Seven, Inc.
Common Stock
7,633,902
2019-01-15 3 FTSV Forty Seven, Inc.
Common Stock
7,633,902
2019-01-15 3 FTSV Forty Seven, Inc.
Common Stock
7,633,902
2019-01-15 3 FTSV Forty Seven, Inc.
Common Stock
7,633,902
2019-01-15 3 ETTX Entasis Therapeutics Holdings Inc.
Common Stock
3,246,810
2019-01-15 3 ETTX Entasis Therapeutics Holdings Inc.
Common Stock
3,246,810
2019-01-15 3 ETTX Entasis Therapeutics Holdings Inc.
Common Stock
3,246,810
2019-01-15 3 ETTX Entasis Therapeutics Holdings Inc.
Common Stock
3,246,810
2019-01-15 3 ETTX Entasis Therapeutics Holdings Inc.
Common Stock
3,246,810
2019-01-15 3 ETTX Entasis Therapeutics Holdings Inc.
Common Stock
3,246,810
2019-01-15 3 ETTX Entasis Therapeutics Holdings Inc.
Common Stock
3,246,810
2019-01-15 3 ETTX Entasis Therapeutics Holdings Inc.
Common Stock
3,246,810
2019-01-15 3 AVRO AVROBIO, Inc.
Common Stock
5,924,650
2019-01-15 3 AVRO AVROBIO, Inc.
Common Stock
5,924,650
2019-01-15 3 AVRO AVROBIO, Inc.
Common Stock
5,924,650
2019-01-15 3 AVRO AVROBIO, Inc.
Common Stock
5,924,650
2019-01-15 3 AVRO AVROBIO, Inc.
Common Stock
5,924,650
2019-01-15 3 AVRO AVROBIO, Inc.
Common Stock
5,924,650
2019-01-15 3 AVRO AVROBIO, Inc.
Common Stock
5,924,650
2019-01-15 3 AVRO AVROBIO, Inc.
Common Stock
5,924,650
2018-12-06 2018-12-04 4 VSLR Vivint Solar, Inc.
Common Stock
S - Sale -8,000,000 74,359,374 -9.71 5.20 -41,580,000 386,482,846
2018-12-04 2018-12-02 4 CROX Crocs, Inc.
Series A Convertible Preferred Stock
C - Conversion -248 0 -100.00
2018-12-04 2018-12-02 4 CROX Crocs, Inc.
Series A Convertible Preferred Stock
S - Sale -248 248 -50.00
2018-12-04 2018-12-02 4 CROX Crocs, Inc.
Series A Convertible Preferred Stock
C - Conversion -99,252 0 -100.00
2018-12-04 2018-12-02 4 CROX Crocs, Inc.
Series A Convertible Preferred Stock
S - Sale -99,252 99,252 -50.00
2018-12-04 2018-12-02 4 CROX Crocs, Inc.
Common Stock
C - Conversion 17,137 17,137 14.50 248,486 248,486
2018-12-04 2018-12-02 4 CROX Crocs, Inc.
Common Stock
C - Conversion 6,844,929 6,844,929 14.50 99,251,470 99,251,470
2018-11-26 2018-11-26 4 EARN Ellington Residential Mortgage REIT
Common Stock
P - Purchase 4,421 3,103,257 0.14 11.06 48,896 34,322,022
2018-11-26 2018-11-21 4 EARN Ellington Residential Mortgage REIT
Common Stock
P - Purchase 5,810 3,098,836 0.19 11.04 64,142 34,211,149
2018-11-20 2018-11-20 4 EARN Ellington Residential Mortgage REIT
Common Stock
P - Purchase 45,126 3,093,026 1.48 10.90 491,873 33,713,983
2018-11-20 2018-11-19 4 EARN Ellington Residential Mortgage REIT
Common Stock
P - Purchase 6,399 3,047,900 0.21 10.92 69,877 33,283,068
2018-11-20 2018-11-16 4 EARN Ellington Residential Mortgage REIT
Common Stock
P - Purchase 9,760 3,041,501 0.32 10.88 106,189 33,091,531
2018-11-15 2018-11-15 4 EARN Ellington Residential Mortgage REIT
Common Stock
P - Purchase 4,001 3,031,741 0.13 10.78 43,131 32,682,168
2018-11-15 2018-11-14 4 EARN Ellington Residential Mortgage REIT
Common Stock
P - Purchase 14,911 3,027,740 0.49 10.84 161,635 32,820,702
2018-11-15 2018-11-13 4 EARN Ellington Residential Mortgage REIT
Common Stock
P - Purchase 7,000 3,012,829 0.23 10.79 75,530 32,508,425
2018-11-14 2018-11-06 4 NONE Blackstone / GSO Secured Lending Fund
Common Shares of Beneficial Interest
P - Purchase 192,000 192,060 320,000.00 25.00 4,800,000 4,801,500
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
35,578,250
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
34,529,402
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
27,021,680
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
26,353,198
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
26,332,475
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
33,664,975
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
26,276,028
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
35,578,250
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
34,529,402
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
27,021,680
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
26,353,198
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
26,332,475
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
33,664,975
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
26,276,028
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
35,578,250
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
34,529,402
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
27,021,680
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
26,353,198
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
26,332,475
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
33,664,975
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
26,276,028
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
35,578,250
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
34,529,402
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
27,021,680
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
26,353,198
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
26,332,475
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
33,664,975
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
26,276,028
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
35,578,250
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
34,529,402
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
27,021,680
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
26,353,198
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
26,332,475
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
33,664,975
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
26,276,028
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
35,578,250
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
34,529,402
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
27,021,680
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
26,353,198
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
26,332,475
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
33,664,975
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
26,276,028
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
35,578,250
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
34,529,402
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
27,021,680
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
26,353,198
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
26,332,475
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
33,664,975
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
26,276,028
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
35,578,250
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
34,529,402
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
27,021,680
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
26,353,198
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
26,332,475
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
33,664,975
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
26,276,028
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
35,578,250
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
34,529,402
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
27,021,680
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
26,353,198
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
26,332,475
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
33,664,975
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
26,276,028
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
35,578,250
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
34,529,402
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
27,021,680
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
26,353,198
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
26,332,475
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
33,664,975
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
26,276,028
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
35,578,250
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
34,529,402
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
27,021,680
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
26,353,198
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
26,332,475
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
33,664,975
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
26,276,028
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
35,578,250
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
34,529,402
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
27,021,680
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
26,353,198
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
26,332,475
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
33,664,975
2018-11-08 3 DFBG Centric Brands Inc.
Common Stock
26,276,028
2018-10-09 2018-10-05 4 FG FGL Holdings
Warrants
S - Sale -6,250,000 0 -100.00
2018-10-09 2018-10-05 4 FG FGL Holdings
Ordinary Shares
P - Purchase 687,500 15,316,406 4.70
2018-10-01 3 NONE Blackstone / GSO Secured Lending Fund
Common Shares of Beneficial Interest
120
2018-10-01 3 NONE Blackstone / GSO Secured Lending Fund
Common Shares of Beneficial Interest
120
2018-10-01 3 NONE Blackstone / GSO Secured Lending Fund
Common Shares of Beneficial Interest
120
2018-10-01 3 NONE Blackstone / GSO Secured Lending Fund
Common Shares of Beneficial Interest
120
2018-10-01 3 NONE Blackstone / GSO Secured Lending Fund
Common Shares of Beneficial Interest
120
2018-10-01 3 NONE Blackstone / GSO Secured Lending Fund
Common Shares of Beneficial Interest
120
2018-10-01 3 NONE Blackstone / GSO Secured Lending Fund
Common Shares of Beneficial Interest
120
2018-10-01 3 NONE Blackstone / GSO Secured Lending Fund
Common Shares of Beneficial Interest
120
2018-10-01 3 NONE Blackstone / GSO Secured Lending Fund
Common Shares of Beneficial Interest
120
2018-10-01 3 NONE Blackstone / GSO Secured Lending Fund
Common Shares of Beneficial Interest
120
2018-09-21 2018-09-19 4 KOS Kosmos Energy Ltd.
Common Shares
S - Sale 8,956 135,227 7.09 8.94 80,067 1,208,929
2018-09-21 2018-09-19 4 KOS Kosmos Energy Ltd.
Common Shares
S - Sale -65,963 995,919 -6.21 8.94 -589,709 8,903,516
2018-09-21 2018-09-19 4 KOS Kosmos Energy Ltd.
Common Shares
S - Sale -79,445 1,199,476 -6.21 8.94 -710,238 10,723,315
2018-09-21 2018-09-19 4 KOS Kosmos Energy Ltd.
Common Shares
S - Sale -50,405 761,020 -6.21 8.94 -450,621 6,803,519
2018-09-21 2018-09-19 4 KOS Kosmos Energy Ltd.
Common Shares
S - Sale -3,090,802 46,665,299 -6.21 8.94 -27,631,770 417,187,773
2018-09-04 3 FLMN Falcon Minerals Corp
Class C Common Stock
110,395,286
2018-09-04 3 FLMN Falcon Minerals Corp
Class C Common Stock
110,395,286
2018-09-04 3 FLMN Falcon Minerals Corp
Class C Common Stock
110,395,286
2018-09-04 3 FLMN Falcon Minerals Corp
Class C Common Stock
110,395,286
2018-09-04 3 FLMN Falcon Minerals Corp
Class C Common Stock
110,395,286
2018-09-04 3 FLMN Falcon Minerals Corp
Class C Common Stock
110,395,286
2018-09-04 3 FLMN Falcon Minerals Corp
Class C Common Stock
110,395,286
2018-08-22 2018-08-20 4 EARN Ellington Residential Mortgage REIT
Common Stock
P - Purchase 7,603 3,005,829 0.25 11.67 88,727 35,078,024
2018-08-17 2018-08-17 4 EARN Ellington Residential Mortgage REIT
Common Stock
P - Purchase 1,297 2,998,226 0.04 11.50 14,916 34,479,599
2018-08-17 2018-08-16 4 EARN Ellington Residential Mortgage REIT
Common Stock
P - Purchase 17,799 2,996,929 0.60 11.44 203,621 34,284,868
2018-08-17 2018-08-15 4 EARN Ellington Residential Mortgage REIT
Common Stock
P - Purchase 14,725 2,979,130 0.50 11.34 166,982 33,783,334
2018-08-14 2018-08-14 4 EARN Ellington Residential Mortgage REIT
Common Stock
P - Purchase 12,724 2,964,405 0.43 11.25 143,145 33,349,556
2018-08-14 2018-08-13 4 EARN Ellington Residential Mortgage REIT
Common Stock
P - Purchase 16,468 2,951,681 0.56 11.23 184,936 33,147,378
2018-08-14 2018-08-10 4 EARN Ellington Residential Mortgage REIT
Common Stock
P - Purchase 10,690 2,935,213 0.37 11.21 119,835 32,903,738
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
24,356,193
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
18,518,710
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
18,112,974
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,763,585
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,658,169
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,777,289
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,848,556
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,890,616
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,675,700
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
20,632,210
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
18,357,065
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
18,683,373
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
20,404,503
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,674,829
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
18,030,836
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
24,356,193
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
18,518,710
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
18,112,974
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,763,585
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,658,169
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,777,289
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,848,556
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,890,616
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,675,700
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
20,632,210
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
18,357,065
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
18,683,373
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
20,404,503
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,674,829
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
18,030,836
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
24,356,193
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
18,518,710
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
18,112,974
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,763,585
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,658,169
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,777,289
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,848,556
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,890,616
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,675,700
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
20,632,210
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
18,357,065
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
18,683,373
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
20,404,503
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,674,829
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
18,030,836
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
24,356,193
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
18,518,710
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
18,112,974
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,763,585
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,658,169
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,777,289
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,848,556
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,890,616
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,675,700
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
20,632,210
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
18,357,065
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
18,683,373
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
20,404,503
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,674,829
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
18,030,836
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
24,356,193
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
18,518,710
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
18,112,974
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,763,585
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,658,169
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,777,289
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,848,556
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,890,616
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,675,700
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
20,632,210
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
18,357,065
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
18,683,373
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
20,404,503
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,674,829
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
18,030,836
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
24,356,193
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
18,518,710
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
18,112,974
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,763,585
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,658,169
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,777,289
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,848,556
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,890,616
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,675,700
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
20,632,210
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
18,357,065
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
18,683,373
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
20,404,503
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,674,829
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
18,030,836
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
24,356,193
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
18,518,710
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
18,112,974
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,763,585
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,658,169
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,777,289
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,848,556
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,890,616
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,675,700
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
20,632,210
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
18,357,065
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
18,683,373
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
20,404,503
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,674,829
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
18,030,836
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
24,356,193
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
18,518,710
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
18,112,974
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,763,585
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,658,169
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,777,289
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,848,556
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,890,616
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,675,700
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
20,632,210
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
18,357,065
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
18,683,373
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
20,404,503
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,674,829
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
18,030,836
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
24,356,193
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
18,518,710
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
18,112,974
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,763,585
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,658,169
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,777,289
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,848,556
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,890,616
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,675,700
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
20,632,210
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
18,357,065
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
18,683,373
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
20,404,503
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,674,829
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
18,030,836
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
24,356,193
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
18,518,710
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
18,112,974
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,763,585
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,658,169
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,777,289
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,848,556
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,890,616
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,675,700
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
20,632,210
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
18,357,065
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
18,683,373
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
20,404,503
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,674,829
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
18,030,836
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
24,356,193
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
18,518,710
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
18,112,974
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,763,585
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,658,169
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,777,289
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,848,556
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,890,616
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,675,700
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
20,632,210
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
18,357,065
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
18,683,373
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
20,404,503
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
17,674,829
2018-06-11 3 CPLG CorePoint Lodging Inc.
Common Stock
18,030,836
2018-06-01 2018-06-01 4 EARN Ellington Residential Mortgage REIT
Common Stock
P - Purchase 6,939 2,924,523 0.24 11.47 79,590 33,544,279
2018-06-01 2018-05-31 4 EARN Ellington Residential Mortgage REIT
Common Stock
P - Purchase 7,905 2,917,584 0.27 11.59 91,619 33,814,799
2018-06-01 2018-05-30 4 EARN Ellington Residential Mortgage REIT
Common Stock
P - Purchase 4,600 2,909,679 0.16 11.61 53,406 33,781,373
2018-06-01 2018-05-30 4 LQ La Quinta Holdings Inc.
Common Stock
J - Other -444,298 0 -100.00 16.80 -7,464,206
2018-06-01 2018-05-30 4 LQ La Quinta Holdings Inc.
Common Stock
J - Other -88,291 0 -100.00 16.80 -1,483,289
2018-06-01 2018-05-30 4 LQ La Quinta Holdings Inc.
Common Stock
J - Other -2,817,965 0 -100.00 16.80 -47,341,812
2018-06-01 2018-05-30 4 LQ La Quinta Holdings Inc.
Common Stock
J - Other -1,096,835 0 -100.00 16.80 -18,426,828
2018-06-01 2018-05-30 4 LQ La Quinta Holdings Inc.
Common Stock
J - Other -770,527 0 -100.00 16.80 -12,944,854
2018-06-01 2018-05-30 4 LQ La Quinta Holdings Inc.
Common Stock
J - Other -3,045,672 0 -100.00 16.80 -51,167,290
2018-06-01 2018-05-30 4 LQ La Quinta Holdings Inc.
Common Stock
J - Other -89,162 0 -100.00 16.80 -1,497,922
2018-06-01 2018-05-30 4 LQ La Quinta Holdings Inc.
Common Stock
J - Other -304,078 0 -100.00 16.80 -5,108,510
2018-06-01 2018-05-30 4 LQ La Quinta Holdings Inc.
Common Stock
J - Other -262,018 0 -100.00 16.80 -4,401,902
2018-06-01 2018-05-30 4 LQ La Quinta Holdings Inc.
Common Stock
J - Other -190,751 0 -100.00 16.80 -3,204,617
2018-06-01 2018-05-30 4 LQ La Quinta Holdings Inc.
Common Stock
J - Other -71,631 0 -100.00 16.80 -1,203,401
2018-06-01 2018-05-30 4 LQ La Quinta Holdings Inc.
Common Stock
J - Other -177,047 0 -100.00 16.80 -2,974,390
2018-06-01 2018-05-30 4 LQ La Quinta Holdings Inc.
Common Stock
J - Other -526,436 0 -100.00 16.80 -8,844,125
2018-06-01 2018-05-30 4 LQ La Quinta Holdings Inc.
Common Stock
J - Other -932,172 0 -100.00 16.80 -15,660,490
2018-06-01 2018-05-30 4 LQ La Quinta Holdings Inc.
Common Stock
J - Other -6,769,655 0 -100.00 16.80 -113,730,204
2018-05-29 2018-05-29 4 EARN Ellington Residential Mortgage REIT
Common Stock
P - Purchase 4,830 2,905,079 0.17 11.56 55,835 33,582,713
2018-05-29 2018-05-25 4 EARN Ellington Residential Mortgage REIT
Common Stock
P - Purchase 10,811 2,900,249 0.37 11.52 124,543 33,410,868
2018-05-29 2018-05-24 4 EARN Ellington Residential Mortgage REIT
Common Stock
P - Purchase 11,515 2,889,438 0.40 11.42 131,501 32,997,382
2018-05-23 2018-05-23 4 EARN Ellington Residential Mortgage REIT
Common Stock
P - Purchase 7,254 2,877,923 0.25 11.47 83,203 33,009,777
2018-05-23 2018-05-22 4 EARN Ellington Residential Mortgage REIT
Common Stock
P - Purchase 8,616 2,870,669 0.30 11.30 97,361 32,438,560
2018-05-23 2018-05-21 4 EARN Ellington Residential Mortgage REIT
Common Stock
P - Purchase 14,132 2,862,053 0.50 11.25 158,985 32,198,096
2018-05-18 2018-05-18 4 EARN Ellington Residential Mortgage REIT
Common Stock
P - Purchase 8,820 2,847,921 0.31 11.15 98,343 31,754,319
2018-05-18 2018-05-17 4 EARN Ellington Residential Mortgage REIT
Common Stock
P - Purchase 8,100 2,839,101 0.29 11.17 90,477 31,712,758
2018-05-18 2018-05-16 4 EARN Ellington Residential Mortgage REIT
Common Stock
P - Purchase 15,494 2,831,001 0.55 11.21 173,688 31,735,521
2018-05-15 2018-05-15 4 EARN Ellington Residential Mortgage REIT
Common Stock
P - Purchase 9,600 2,815,507 0.34 11.24 107,904 31,646,299
2018-05-15 2018-05-14 4 EARN Ellington Residential Mortgage REIT
Common Stock
P - Purchase 11,909 2,805,907 0.43 11.26 134,095 31,594,513
2018-05-15 2018-05-11 4 EARN Ellington Residential Mortgage REIT
Common Stock
P - Purchase 19,475 2,793,998 0.70 11.11 216,367 31,041,318
2018-05-14 2018-05-10 4 HCC WARRIOR MET COAL, INC.
Common Stock
S - Sale -296,669 642,881 -31.58 24.20 -7,179,390 15,557,720
2018-05-14 2018-05-10 4 HCC WARRIOR MET COAL, INC.
Common Stock
S - Sale -167,405 362,766 -31.58 24.20 -4,051,201 8,778,937
2018-05-14 2018-05-10 4 HCC WARRIOR MET COAL, INC.
Common Stock
S - Sale -17,097 37,050 -31.58 24.20 -413,747 896,610
2018-05-14 2018-05-10 4 HCC WARRIOR MET COAL, INC.
Common Stock
S - Sale -48,711 105,558 -31.58 24.20 -1,178,806 2,554,504
2018-05-14 2018-05-10 4 HCC WARRIOR MET COAL, INC.
Common Stock
S - Sale -126,800 274,775 -31.58 24.20 -3,068,560 6,649,555
2018-05-14 2018-05-10 4 HCC WARRIOR MET COAL, INC.
Common Stock
S - Sale -111,564 241,761 -31.58 24.20 -2,699,849 5,850,616
2018-05-14 2018-05-10 4 HCC WARRIOR MET COAL, INC.
Common Stock
S - Sale -60,369 130,821 -31.58 24.20 -1,460,930 3,165,868
2018-05-14 2018-05-10 4 HCC WARRIOR MET COAL, INC.
Common Stock
S - Sale -53,348 115,606 -31.58 24.20 -1,291,022 2,797,665
2018-05-14 2018-05-10 4 HCC WARRIOR MET COAL, INC.
Common Stock
S - Sale -462,967 1,003,247 -31.58 24.20 -11,203,801 24,278,577
2018-05-14 2018-05-10 4 HCC WARRIOR MET COAL, INC.
Common Stock
S - Sale -524,749 1,137,128 -31.58 24.20 -12,698,926 27,518,498
2018-04-05 2018-04-03 4 FG FGL Holdings
Ordinary Shares
J - Other 12,488 12,488
2018-03-19 2018-03-16 4 EARN Ellington Residential Mortgage REIT
Common Stock
P - Purchase 2,700 2,774,523 0.10 11.43 30,861 31,712,798
2018-03-19 2018-03-15 4 EARN Ellington Residential Mortgage REIT
Common Stock
P - Purchase 11,278 2,771,823 0.41 11.42 128,795 31,654,219
2018-03-13 2018-03-12 4 EARN Ellington Residential Mortgage REIT
Common Stock
P - Purchase 7,841 2,760,545 0.28 11.43 89,623 31,553,029
2018-03-13 2018-03-09 4 EARN Ellington Residential Mortgage REIT
Common Stock
P - Purchase 20,536 2,752,704 0.75 11.20 230,003 30,830,285
2018-03-08 2018-03-08 4 EARN Ellington Residential Mortgage REIT
Common Stock
P - Purchase 10,855 2,732,168 0.40 11.01 119,514 30,081,170
2018-03-08 2018-03-07 4 EARN Ellington Residential Mortgage REIT
Common Stock
P - Purchase 13,609 2,721,313 0.50 10.90 148,338 29,662,312
2018-03-08 2018-03-06 4 EARN Ellington Residential Mortgage REIT
Common Stock
P - Purchase 18,002 2,707,704 0.67 10.81 194,602 29,270,280
2018-01-31 3 OMAD One Madison Corp
Class A Ordinary Shares
7,965,000
2018-01-31 3 OMAD One Madison Corp
Class A Ordinary Shares
5,085,000
2018-01-31 3 OMAD One Madison Corp
Class B Ordinary Shares
4,976,500
2018-01-31 3 OMAD One Madison Corp
Class B Ordinary Shares
4,598,500
2018-01-31 3 OMAD One Madison Corp
Class A Ordinary Shares
7,965,000
2018-01-31 3 OMAD One Madison Corp
Class A Ordinary Shares
5,085,000
2018-01-31 3 OMAD One Madison Corp
Class B Ordinary Shares
4,976,500
2018-01-31 3 OMAD One Madison Corp
Class B Ordinary Shares
4,598,500
2018-01-31 3 OMAD One Madison Corp
Class A Ordinary Shares
7,965,000
2018-01-31 3 OMAD One Madison Corp
Class A Ordinary Shares
5,085,000
2018-01-31 3 OMAD One Madison Corp
Class B Ordinary Shares
4,976,500
2018-01-31 3 OMAD One Madison Corp
Class B Ordinary Shares
4,598,500
2018-01-31 3 OMAD One Madison Corp
Class A Ordinary Shares
7,965,000
2018-01-31 3 OMAD One Madison Corp
Class A Ordinary Shares
5,085,000
2018-01-31 3 OMAD One Madison Corp
Class B Ordinary Shares
4,976,500
2018-01-31 3 OMAD One Madison Corp
Class B Ordinary Shares
4,598,500
2018-01-31 3 OMAD One Madison Corp
Class A Ordinary Shares
7,965,000
2018-01-31 3 OMAD One Madison Corp
Class A Ordinary Shares
5,085,000
2018-01-31 3 OMAD One Madison Corp
Class B Ordinary Shares
4,976,500
2018-01-31 3 OMAD One Madison Corp
Class B Ordinary Shares
4,598,500
2018-01-31 3 OMAD One Madison Corp
Class A Ordinary Shares
7,965,000
2018-01-31 3 OMAD One Madison Corp
Class A Ordinary Shares
5,085,000
2018-01-31 3 OMAD One Madison Corp
Class B Ordinary Shares
4,976,500
2018-01-31 3 OMAD One Madison Corp
Class B Ordinary Shares
4,598,500
2018-01-31 3 OMAD One Madison Corp
Class A Ordinary Shares
7,965,000
2018-01-31 3 OMAD One Madison Corp
Class A Ordinary Shares
5,085,000
2018-01-31 3 OMAD One Madison Corp
Class B Ordinary Shares
4,976,500
2018-01-31 3 OMAD One Madison Corp
Class B Ordinary Shares
4,598,500
2018-01-31 3 OMAD One Madison Corp
Class A Ordinary Shares
7,965,000
2018-01-31 3 OMAD One Madison Corp
Class A Ordinary Shares
5,085,000
2018-01-31 3 OMAD One Madison Corp
Class B Ordinary Shares
4,976,500
2018-01-31 3 OMAD One Madison Corp
Class B Ordinary Shares
4,598,500
2018-01-31 3 OMAD One Madison Corp
Class A Ordinary Shares
7,965,000
2018-01-31 3 OMAD One Madison Corp
Class A Ordinary Shares
5,085,000
2018-01-31 3 OMAD One Madison Corp
Class B Ordinary Shares
4,976,500
2018-01-31 3 OMAD One Madison Corp
Class B Ordinary Shares
4,598,500
2018-01-31 3 OMAD One Madison Corp
Class A Ordinary Shares
7,965,000
2018-01-31 3 OMAD One Madison Corp
Class A Ordinary Shares
5,085,000
2018-01-31 3 OMAD One Madison Corp
Class B Ordinary Shares
4,976,500
2018-01-31 3 OMAD One Madison Corp
Class B Ordinary Shares
4,598,500
2018-01-31 3 OMAD One Madison Corp
Class A Ordinary Shares
7,965,000
2018-01-31 3 OMAD One Madison Corp
Class A Ordinary Shares
5,085,000
2018-01-31 3 OMAD One Madison Corp
Class B Ordinary Shares
4,976,500
2018-01-31 3 OMAD One Madison Corp
Class B Ordinary Shares
4,598,500
2018-01-25 3 GTES Gates Industrial Corp plc
Ordinary Shares
356,201,859
2018-01-25 3 GTES Gates Industrial Corp plc
Ordinary Shares
352,494,850
2018-01-25 3 GTES Gates Industrial Corp plc
Ordinary Shares
244,356,923
2018-01-25 3 GTES Gates Industrial Corp plc
Ordinary Shares
266,873,283
2018-01-25 3 GTES Gates Industrial Corp plc
Ordinary Shares
356,201,859
2018-01-25 3 GTES Gates Industrial Corp plc
Ordinary Shares
352,494,850
2018-01-25 3 GTES Gates Industrial Corp plc
Ordinary Shares
244,356,923
2018-01-25 3 GTES Gates Industrial Corp plc
Ordinary Shares
266,873,283
2018-01-25 3 GTES Gates Industrial Corp plc
Ordinary Shares
356,201,859
2018-01-25 3 GTES Gates Industrial Corp plc
Ordinary Shares
352,494,850
2018-01-25 3 GTES Gates Industrial Corp plc
Ordinary Shares
244,356,923
2018-01-25 3 GTES Gates Industrial Corp plc
Ordinary Shares
266,873,283
2018-01-25 3 GTES Gates Industrial Corp plc
Ordinary Shares
356,201,859
2018-01-25 3 GTES Gates Industrial Corp plc
Ordinary Shares
352,494,850
2018-01-25 3 GTES Gates Industrial Corp plc
Ordinary Shares
244,356,923
2018-01-25 3 GTES Gates Industrial Corp plc
Ordinary Shares
266,873,283
2018-01-25 3 GTES Gates Industrial Corp plc
Ordinary Shares
356,201,859
2018-01-25 3 GTES Gates Industrial Corp plc
Ordinary Shares
352,494,850
2018-01-25 3 GTES Gates Industrial Corp plc
Ordinary Shares
244,356,923
2018-01-25 3 GTES Gates Industrial Corp plc
Ordinary Shares
266,873,283
2018-01-25 3 GTES Gates Industrial Corp plc
Ordinary Shares
356,201,859
2018-01-25 3 GTES Gates Industrial Corp plc
Ordinary Shares
352,494,850
2018-01-25 3 GTES Gates Industrial Corp plc
Ordinary Shares
244,356,923
2018-01-25 3 GTES Gates Industrial Corp plc
Ordinary Shares
266,873,283
2018-01-25 3 GTES Gates Industrial Corp plc
Ordinary Shares
356,201,859
2018-01-25 3 GTES Gates Industrial Corp plc
Ordinary Shares
352,494,850
2018-01-25 3 GTES Gates Industrial Corp plc
Ordinary Shares
244,356,923
2018-01-25 3 GTES Gates Industrial Corp plc
Ordinary Shares
266,873,283
2018-01-25 3 GTES Gates Industrial Corp plc
Ordinary Shares
356,201,859
2018-01-25 3 GTES Gates Industrial Corp plc
Ordinary Shares
352,494,850
2018-01-25 3 GTES Gates Industrial Corp plc
Ordinary Shares
244,356,923
2018-01-25 3 GTES Gates Industrial Corp plc
Ordinary Shares
266,873,283
2018-01-02 2017-12-29 4 CQP Cheniere Energy Partners, L.P.
Common Units
P - Purchase 231,288 2,011,447 12.99 29.49 6,820,197 59,313,348
2018-01-02 2017-12-28 4 CQP Cheniere Energy Partners, L.P.
Common Units
P - Purchase 228,535 1,780,159 14.73 29.63 6,772,543 52,754,300
2018-01-02 3 BGFLX Blackstone / GSO Floating Rate Enhanced Income Fund
Class I Common Shares
8,000
2018-01-02 3 BGFLX Blackstone / GSO Floating Rate Enhanced Income Fund
Class I Common Shares
8,000
2018-01-02 3 BGFLX Blackstone / GSO Floating Rate Enhanced Income Fund
Class I Common Shares
8,000
2018-01-02 3 BGFLX Blackstone / GSO Floating Rate Enhanced Income Fund
Class I Common Shares
8,000
2018-01-02 3 BGFLX Blackstone / GSO Floating Rate Enhanced Income Fund
Class I Common Shares
8,000
2018-01-02 3 BGFLX Blackstone / GSO Floating Rate Enhanced Income Fund
Class I Common Shares
8,000
2018-01-02 3 BGFLX Blackstone / GSO Floating Rate Enhanced Income Fund
Class I Common Shares
8,000
2018-01-02 3 BGFLX Blackstone / GSO Floating Rate Enhanced Income Fund
Class I Common Shares
8,000
2018-01-02 3 BGFLX Blackstone / GSO Floating Rate Enhanced Income Fund
Class I Common Shares
8,000
2018-01-02 3 BGFLX Blackstone / GSO Floating Rate Enhanced Income Fund
Class I Common Shares
8,000
2018-01-02 3 BGFLX Blackstone / GSO Floating Rate Enhanced Income Fund
Class I Common Shares
8,000
2017-12-28 2017-12-27 4 CQP Cheniere Energy Partners, L.P.
Common Units
P - Purchase 308,766 1,551,624 24.84 29.09 8,982,898 45,141,242
2017-12-28 2017-12-26 4 CQP Cheniere Energy Partners, L.P.
Common Units
P - Purchase 25,466 1,242,858 2.09 28.61 728,679 35,562,890
2017-12-26 2017-12-22 4 CQP Cheniere Energy Partners, L.P.
Common Units
P - Purchase 73,247 1,217,392 6.40 28.04 2,054,190 34,141,393
2017-12-26 2017-12-21 4 CQP Cheniere Energy Partners, L.P.
Common Units
P - Purchase 42,976 1,144,145 3.90 27.85 1,196,933 31,865,811
2017-12-11 2017-12-07 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -153,184 1,459,328 -9.50 3.00 -459,567 4,378,130
2017-12-11 2017-12-07 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -85,424 153,909 -35.69 3.00 -256,281 461,742
2017-12-11 2017-12-07 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -219,886 396,173 -35.69 3.00 -659,680 1,188,559
2017-12-11 2017-12-07 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -85,485 154,021 -35.69 3.00 -256,464 462,078
2017-12-11 2017-12-07 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -619,729 1,387,647 -30.87 3.00 -1,859,249 4,163,080
2017-12-11 2017-12-07 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -736,292 1,055,521 -41.09 3.00 -2,208,950 3,166,669
2017-12-11 3 FG FGL Holdings
Ordinary Shares
57,895,812
2017-12-11 3 FG FGL Holdings
Ordinary Shares
65,766,906
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,409,017
2017-12-11 3 FG FGL Holdings
Ordinary Shares
47,414,208
2017-12-11 3 FG FGL Holdings
Ordinary Shares
44,709,024
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,317,818
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,431,985
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,319,447
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,380,827
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,290,922
2017-12-11 3 FG FGL Holdings
Ordinary Shares
57,895,812
2017-12-11 3 FG FGL Holdings
Ordinary Shares
65,766,906
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,409,017
2017-12-11 3 FG FGL Holdings
Ordinary Shares
47,414,208
2017-12-11 3 FG FGL Holdings
Ordinary Shares
44,709,024
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,317,818
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,431,985
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,319,447
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,380,827
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,290,922
2017-12-11 3 FG FGL Holdings
Ordinary Shares
57,895,812
2017-12-11 3 FG FGL Holdings
Ordinary Shares
65,766,906
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,409,017
2017-12-11 3 FG FGL Holdings
Ordinary Shares
47,414,208
2017-12-11 3 FG FGL Holdings
Ordinary Shares
44,709,024
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,317,818
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,431,985
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,319,447
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,380,827
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,290,922
2017-12-11 3 FG FGL Holdings
Ordinary Shares
57,895,812
2017-12-11 3 FG FGL Holdings
Ordinary Shares
65,766,906
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,409,017
2017-12-11 3 FG FGL Holdings
Ordinary Shares
47,414,208
2017-12-11 3 FG FGL Holdings
Ordinary Shares
44,709,024
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,317,818
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,431,985
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,319,447
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,380,827
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,290,922
2017-12-11 3 FG FGL Holdings
Ordinary Shares
57,895,812
2017-12-11 3 FG FGL Holdings
Ordinary Shares
65,766,906
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,409,017
2017-12-11 3 FG FGL Holdings
Ordinary Shares
47,414,208
2017-12-11 3 FG FGL Holdings
Ordinary Shares
44,709,024
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,317,818
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,431,985
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,319,447
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,380,827
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,290,922
2017-12-11 3 FG FGL Holdings
Ordinary Shares
57,895,812
2017-12-11 3 FG FGL Holdings
Ordinary Shares
65,766,906
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,409,017
2017-12-11 3 FG FGL Holdings
Ordinary Shares
47,414,208
2017-12-11 3 FG FGL Holdings
Ordinary Shares
44,709,024
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,317,818
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,431,985
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,319,447
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,380,827
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,290,922
2017-12-11 3 FG FGL Holdings
Ordinary Shares
57,895,812
2017-12-11 3 FG FGL Holdings
Ordinary Shares
65,766,906
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,409,017
2017-12-11 3 FG FGL Holdings
Ordinary Shares
47,414,208
2017-12-11 3 FG FGL Holdings
Ordinary Shares
44,709,024
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,317,818
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,431,985
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,319,447
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,380,827
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,290,922
2017-12-11 3 FG FGL Holdings
Ordinary Shares
57,895,812
2017-12-11 3 FG FGL Holdings
Ordinary Shares
65,766,906
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,409,017
2017-12-11 3 FG FGL Holdings
Ordinary Shares
47,414,208
2017-12-11 3 FG FGL Holdings
Ordinary Shares
44,709,024
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,317,818
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,431,985
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,319,447
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,380,827
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,290,922
2017-12-11 3 FG FGL Holdings
Ordinary Shares
57,895,812
2017-12-11 3 FG FGL Holdings
Ordinary Shares
65,766,906
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,409,017
2017-12-11 3 FG FGL Holdings
Ordinary Shares
47,414,208
2017-12-11 3 FG FGL Holdings
Ordinary Shares
44,709,024
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,317,818
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,431,985
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,319,447
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,380,827
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,290,922
2017-12-11 3 FG FGL Holdings
Ordinary Shares
57,895,812
2017-12-11 3 FG FGL Holdings
Ordinary Shares
65,766,906
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,409,017
2017-12-11 3 FG FGL Holdings
Ordinary Shares
47,414,208
2017-12-11 3 FG FGL Holdings
Ordinary Shares
44,709,024
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,317,818
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,431,985
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,319,447
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,380,827
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,290,922
2017-12-11 3 FG FGL Holdings
Ordinary Shares
57,895,812
2017-12-11 3 FG FGL Holdings
Ordinary Shares
65,766,906
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,409,017
2017-12-11 3 FG FGL Holdings
Ordinary Shares
47,414,208
2017-12-11 3 FG FGL Holdings
Ordinary Shares
44,709,024
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,317,818
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,431,985
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,319,447
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,380,827
2017-12-11 3 FG FGL Holdings
Ordinary Shares
43,290,922
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
13,727,774
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
13,351,048
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
13,351,221
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
16,086,871
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
14,724,227
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
16,741,675
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
14,903,528
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
15,119,091
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
13,727,774
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
13,351,048
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
13,351,221
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
16,086,871
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
14,724,227
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
16,741,675
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
14,903,528
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
15,119,091
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
13,727,774
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
13,351,048
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
13,351,221
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
16,086,871
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
14,724,227
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
16,741,675
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
14,903,528
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
15,119,091
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
13,727,774
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
13,351,048
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
13,351,221
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
16,086,871
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
14,724,227
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
16,741,675
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
14,903,528
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
15,119,091
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
13,727,774
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
13,351,048
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
13,351,221
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
16,086,871
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
14,724,227
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
16,741,675
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
14,903,528
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
15,119,091
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
13,727,774
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
13,351,048
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
13,351,221
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
16,086,871
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
14,724,227
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
16,741,675
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
14,903,528
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
15,119,091
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
13,727,774
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
13,351,048
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
13,351,221
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
16,086,871
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
14,724,227
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
16,741,675
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
14,903,528
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
15,119,091
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
13,727,774
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
13,351,048
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
13,351,221
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
16,086,871
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
14,724,227
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
16,741,675
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
14,903,528
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
15,119,091
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
13,727,774
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
13,351,048
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
13,351,221
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
16,086,871
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
14,724,227
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
16,741,675
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
14,903,528
2017-12-04 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
15,119,091
2017-10-26 3 HESM Hess Midstream Partners LP
Common Units
0
2017-10-26 3 WLKP Westlake Chemical Partners LP
Common Units
0
2017-10-06 2017-10-04 4 HLT Hilton Worldwide Holdings Inc.
Common Stock
S - Sale -8,161 8,904 -47.82 69.10 -563,966 615,311
2017-10-06 2017-10-04 4 HLT Hilton Worldwide Holdings Inc.
Common Stock
S - Sale -1,374,572 1,499,970 -47.82 69.10 -94,989,798 103,655,427
2017-10-06 2017-10-04 4 HLT Hilton Worldwide Holdings Inc.
Common Stock
S - Sale -2,849 3,109 -47.82 69.10 -196,880 214,847
2017-10-06 2017-10-04 4 HLT Hilton Worldwide Holdings Inc.
Common Stock
S - Sale -48,420 52,837 -47.82 69.10 -3,346,064 3,651,301
2017-10-06 2017-10-04 4 HLT Hilton Worldwide Holdings Inc.
Common Stock
S - Sale -471,954 522,485 -47.46 69.10 -32,614,381 36,106,326
2017-10-06 2017-10-04 4 HLT Hilton Worldwide Holdings Inc.
Common Stock
S - Sale -13,690,219 15,177,198 -47.42 69.10 -946,062,584 1,048,820,268
2017-09-11 2017-09-07 4 CJES C&J Energy Services, Inc.
Common Stock
S - Sale -1,500,000 5,020,635 -23.00 27.11 -40,665,000 136,109,415
2017-08-04 2017-08-02 4 CQP Cheniere Energy Partners, L.P.
Class B Units
C - Conversion -100,000,000 0 -100.00
2017-08-04 2017-08-02 4 CQP Cheniere Energy Partners, L.P.
Common Units
C - Conversion 198,978,886 198,978,886
2017-07-31 3 CQP Cheniere Energy Partners, L.P.
Common Units
4,572,970
2017-07-31 3 CQP Cheniere Energy Partners, L.P.
Common Units
4,425,656
2017-07-31 3 CQP Cheniere Energy Partners, L.P.
Common Units
4,425,656
2017-07-31 3 CQP Cheniere Energy Partners, L.P.
Common Units
3,934,723
2017-07-31 3 CQP Cheniere Energy Partners, L.P.
Common Units
4,572,970
2017-07-31 3 CQP Cheniere Energy Partners, L.P.
Common Units
4,425,656
2017-07-31 3 CQP Cheniere Energy Partners, L.P.
Common Units
4,425,656
2017-07-31 3 CQP Cheniere Energy Partners, L.P.
Common Units
3,934,723
2017-07-31 3 CQP Cheniere Energy Partners, L.P.
Common Units
4,572,970
2017-07-31 3 CQP Cheniere Energy Partners, L.P.
Common Units
4,425,656
2017-07-31 3 CQP Cheniere Energy Partners, L.P.
Common Units
4,425,656
2017-07-31 3 CQP Cheniere Energy Partners, L.P.
Common Units
3,934,723
2017-07-31 3 CQP Cheniere Energy Partners, L.P.
Common Units
4,572,970
2017-07-31 3 CQP Cheniere Energy Partners, L.P.
Common Units
4,425,656
2017-07-31 3 CQP Cheniere Energy Partners, L.P.
Common Units
4,425,656
2017-07-31 3 CQP Cheniere Energy Partners, L.P.
Common Units
3,934,723
2017-07-31 3 CQP Cheniere Energy Partners, L.P.
Common Units
4,572,970
2017-07-31 3 CQP Cheniere Energy Partners, L.P.
Common Units
4,425,656
2017-07-31 3 CQP Cheniere Energy Partners, L.P.
Common Units
4,425,656
2017-07-31 3 CQP Cheniere Energy Partners, L.P.
Common Units
3,934,723
2017-07-31 3 CQP Cheniere Energy Partners, L.P.
Common Units
4,572,970
2017-07-31 3 CQP Cheniere Energy Partners, L.P.
Common Units
4,425,656
2017-07-31 3 CQP Cheniere Energy Partners, L.P.
Common Units
4,425,656
2017-07-31 3 CQP Cheniere Energy Partners, L.P.
Common Units
3,934,723
2017-07-31 3 CQP Cheniere Energy Partners, L.P.
Common Units
4,572,970
2017-07-31 3 CQP Cheniere Energy Partners, L.P.
Common Units
4,425,656
2017-07-31 3 CQP Cheniere Energy Partners, L.P.
Common Units
4,425,656
2017-07-31 3 CQP Cheniere Energy Partners, L.P.
Common Units
3,934,723
2017-07-31 3 CQP Cheniere Energy Partners, L.P.
Common Units
4,572,970
2017-07-31 3 CQP Cheniere Energy Partners, L.P.
Common Units
4,425,656
2017-07-31 3 CQP Cheniere Energy Partners, L.P.
Common Units
4,425,656
2017-07-31 3 CQP Cheniere Energy Partners, L.P.
Common Units
3,934,723
2017-07-31 3 CQP Cheniere Energy Partners, L.P.
Common Units
4,572,970
2017-07-31 3 CQP Cheniere Energy Partners, L.P.
Common Units
4,425,656
2017-07-31 3 CQP Cheniere Energy Partners, L.P.
Common Units
4,425,656
2017-07-31 3 CQP Cheniere Energy Partners, L.P.
Common Units
3,934,723
2017-07-31 3 CQP Cheniere Energy Partners, L.P.
Common Units
4,572,970
2017-07-31 3 CQP Cheniere Energy Partners, L.P.
Common Units
4,425,656
2017-07-31 3 CQP Cheniere Energy Partners, L.P.
Common Units
4,425,656
2017-07-31 3 CQP Cheniere Energy Partners, L.P.
Common Units
3,934,723
2017-07-31 3 CQP Cheniere Energy Partners, L.P.
Common Units
4,572,970
2017-07-31 3 CQP Cheniere Energy Partners, L.P.
Common Units
4,425,656
2017-07-31 3 CQP Cheniere Energy Partners, L.P.
Common Units
4,425,656
2017-07-31 3 CQP Cheniere Energy Partners, L.P.
Common Units
3,934,723
2017-06-20 2017-06-20 4 HGV Hilton Grand Vacations Inc.
Common Stock
S - Sale -5,039 2,664 -65.42 35.40 -178,381 94,306
2017-06-20 2017-06-20 4 HGV Hilton Grand Vacations Inc.
Common Stock
S - Sale -848,802 448,712 -65.42 35.40 -30,047,591 15,884,405
2017-06-20 2017-06-20 4 HGV Hilton Grand Vacations Inc.
Common Stock
S - Sale -1,759 930 -65.41 35.40 -62,269 32,922
2017-06-20 2017-06-20 4 HGV Hilton Grand Vacations Inc.
Common Stock
S - Sale -29,900 15,806 -65.42 35.40 -1,058,460 559,532
2017-06-20 2017-06-20 4 HGV Hilton Grand Vacations Inc.
Common Stock
S - Sale -292,021 162,208 -64.29 35.40 -10,337,543 5,742,163
2017-06-20 2017-06-20 4 HGV Hilton Grand Vacations Inc.
Common Stock
S - Sale -8,472,479 4,728,369 -64.18 35.40 -299,925,757 167,384,263
2017-06-15 2017-06-13 4 HLT Hilton Worldwide Holdings Inc.
Common Stock
S - Sale -8,610 17,065 -33.53 65.82 -566,710 1,123,218
2017-06-15 2017-06-13 4 HLT Hilton Worldwide Holdings Inc.
Common Stock
S - Sale -1,450,508 2,874,542 -33.54 65.82 -95,472,437 189,202,354
2017-06-15 2017-06-13 4 HLT Hilton Worldwide Holdings Inc.
Common Stock
S - Sale -3,006 5,958 -33.53 65.82 -197,855 392,156
2017-06-15 2017-06-13 4 HLT Hilton Worldwide Holdings Inc.
Common Stock
S - Sale -51,095 101,257 -33.54 65.82 -3,363,073 6,664,736
2017-06-15 2017-06-13 4 HLT Hilton Worldwide Holdings Inc.
Common Stock
S - Sale -499,312 1,014,784 -32.98 65.82 -32,864,716 66,793,083
2017-06-15 2017-06-13 4 HLT Hilton Worldwide Holdings Inc.
Common Stock
S - Sale -14,487,469 29,515,359 -32.92 65.82 -953,565,210 1,942,700,929
2017-06-09 3/A SN Sanchez Energy Corp
Common Stock
531,847
2017-06-09 3/A SN Sanchez Energy Corp
Common Stock
480,874
2017-06-09 3/A SN Sanchez Energy Corp
Common Stock
93,389
2017-06-09 3/A SN Sanchez Energy Corp
Common Stock
35,635
2017-06-09 3/A SN Sanchez Energy Corp
Common Stock
37,214
2017-06-09 3/A SN Sanchez Energy Corp
Common Stock
35,340
2017-06-09 3/A SN Sanchez Energy Corp
Common Stock
71,276
2017-06-09 3/A SN Sanchez Energy Corp
Common Stock
41,855
2017-06-09 3/A SN Sanchez Energy Corp
Common Stock
6,291
2017-06-09 3/A SN Sanchez Energy Corp
Common Stock
621,279
2017-06-07 2017-06-07 4 PK Park Hotels & Resorts Inc.
Common Stock
S - Sale -7,832 8,784 -47.14 26.05 -204,024 228,823
2017-06-07 2017-06-07 4 PK Park Hotels & Resorts Inc.
Common Stock
S - Sale -1,319,463 1,479,651 -47.14 26.05 -34,372,011 38,544,909
2017-06-07 2017-06-07 4 PK Park Hotels & Resorts Inc.
Common Stock
S - Sale -2,735 3,067 -47.14 26.05 -71,247 79,895
2017-06-07 2017-06-07 4 PK Park Hotels & Resorts Inc.
Common Stock
S - Sale -46,476 52,121 -47.14 26.05 -1,210,700 1,357,752
2017-06-07 2017-06-07 4 PK Park Hotels & Resorts Inc.
Common Stock
S - Sale -453,919 526,273 -46.31 26.05 -11,824,590 13,709,412
2017-06-07 2017-06-07 4 PK Park Hotels & Resorts Inc.
Common Stock
S - Sale -13,169,575 15,317,691 -46.23 26.05 -343,067,429 399,025,851
2017-05-31 2017-05-26 4 KOS Kosmos Energy Ltd.
Common Shares
S - Sale -88,066 144,183 -37.92 7.15 -629,672 1,030,908
2017-05-31 2017-05-26 4 KOS Kosmos Energy Ltd.
Common Shares
S - Sale -648,610 1,061,882 -37.92 7.15 -4,637,562 7,592,456
2017-05-31 2017-05-26 4 KOS Kosmos Energy Ltd.
Common Shares
S - Sale -781,182 1,278,921 -37.92 7.15 -5,585,451 9,144,285
2017-05-31 2017-05-26 4 KOS Kosmos Energy Ltd.
Common Shares
S - Sale -457,034 811,425 -36.03 7.15 -3,267,793 5,801,689
2017-05-31 2017-05-26 4 KOS Kosmos Energy Ltd.
Common Shares
S - Sale -28,025,108 49,756,101 -36.03 7.15 -200,379,522 355,756,122
2017-05-22 2017-05-18 4 PFGC Performance Food Group Co
Common Stock
S - Sale -184,064 0 -100.00 27.41 -5,045,194
2017-05-22 2017-05-18 4 PFGC Performance Food Group Co
Common Stock
S - Sale -30,095 0 -100.00 27.41 -824,904
2017-05-22 2017-05-18 4 PFGC Performance Food Group Co
Common Stock
S - Sale -149,508 0 -100.00 27.41 -4,098,014
2017-05-22 2017-05-18 4 PFGC Performance Food Group Co
Common Stock
S - Sale -1,886,399 0 -100.00 27.41 -51,706,197
2017-05-22 2017-05-18 4 PFGC Performance Food Group Co
Common Stock
S - Sale -11,450,399 325,740 -97.23 27.41 -313,855,437 8,928,533
2017-05-10 2017-05-08 4 SEAS SeaWorld Entertainment, Inc.
Common Stock
S - Sale -247,882 0 -100.00 23.00 -5,701,286
2017-05-10 2017-05-08 4 SEAS SeaWorld Entertainment, Inc.
Common Stock
S - Sale -679,058 0 -100.00 23.00 -15,618,334
2017-05-10 2017-05-08 4 SEAS SeaWorld Entertainment, Inc.
Common Stock
S - Sale -445,853 0 -100.00 23.00 -10,254,619
2017-05-10 2017-05-08 4 SEAS SeaWorld Entertainment, Inc.
Common Stock
S - Sale -570,487 0 -100.00 23.00 -13,121,201
2017-05-10 2017-05-08 4 SEAS SeaWorld Entertainment, Inc.
Common Stock
S - Sale -132,040 50,000 -72.53 23.00 -3,036,920 1,150,000
2017-05-10 2017-05-08 4 SEAS SeaWorld Entertainment, Inc.
Common Stock
S - Sale -506,711 0 -100.00 23.00 -11,654,353
2017-05-10 2017-05-08 4 SEAS SeaWorld Entertainment, Inc.
Common Stock
S - Sale -555,394 0 -100.00 23.00 -12,774,062
2017-05-10 2017-05-08 4 SEAS SeaWorld Entertainment, Inc.
Common Stock
S - Sale -493,827 0 -100.00 23.00 -11,358,021
2017-05-10 2017-05-08 4 SEAS SeaWorld Entertainment, Inc.
Common Stock
S - Sale -15,820,811 0 -100.00 23.00 -363,878,653
2017-05-05 2017-05-03 4 STAY Extended Stay America, Inc.
Paired Shares
S - Sale -31,437 29,321 -51.74 17.23 -541,660 505,201
2017-05-05 2017-05-03 4 STAY Extended Stay America, Inc.
Paired Shares
S - Sale -1,972,250 1,877,283 -51.23 17.23 -33,981,868 32,345,586
2017-05-05 2017-05-03 4 STAY Extended Stay America, Inc.
Paired Shares
S - Sale -2,612,668 2,436,820 -51.74 17.23 -45,016,270 41,986,409
2017-05-05 2017-05-03 4 STAY Extended Stay America, Inc.
Paired Shares
S - Sale -1,215,372 1,133,571 -51.74 17.23 -20,940,860 19,531,428
2017-05-05 2017-05-03 4 STAY Extended Stay America, Inc.
Paired Shares
S - Sale -12,752 12,136 -51.24 17.23 -219,717 209,103
2017-05-05 2017-05-03 4 STAY Extended Stay America, Inc.
Paired Shares
S - Sale -638,286 595,946 -51.72 17.21 -10,986,817 10,258,018
2017-05-05 2017-05-03 4 STAY Extended Stay America, Inc.
Paired Shares
S - Sale -1,895,923 1,804,709 -51.23 17.23 -32,666,753 31,095,136
2017-05-05 2017-05-03 4 STAY Extended Stay America, Inc.
Paired Shares
S - Sale -1,871,312 1,780,930 -51.24 17.23 -32,242,706 30,685,424
2017-05-05 2017-05-03 4 NONE ESH Hospitality, Inc.
Paired Shares
S - Sale -31,437 29,321 -51.74 17.23 -541,660 505,201
2017-05-05 2017-05-03 4 NONE ESH Hospitality, Inc.
Paired Shares
S - Sale -1,972,250 1,877,283 -51.23 17.23 -33,981,868 32,345,586
2017-05-05 2017-05-03 4 NONE ESH Hospitality, Inc.
Paired Shares
S - Sale -2,612,668 2,436,820 -51.74 17.23 -45,016,270 41,986,409
2017-05-05 2017-05-03 4 NONE ESH Hospitality, Inc.
Paired Shares
S - Sale -1,215,372 1,133,571 -51.74 17.23 -20,940,860 19,531,428
2017-05-05 2017-05-03 4 NONE ESH Hospitality, Inc.
Paired Shares
S - Sale -12,752 12,136 -51.24 17.23 -219,717 209,103
2017-05-05 2017-05-03 4 NONE ESH Hospitality, Inc.
Paired Shares
S - Sale -638,286 595,946 -51.72 17.23 -10,997,668 10,268,150
2017-05-05 2017-05-03 4 NONE ESH Hospitality, Inc.
Paired Shares
S - Sale -1,895,923 1,804,709 -51.23 17.23 -32,666,753 31,095,136
2017-05-05 2017-05-03 4 NONE ESH Hospitality, Inc.
Paired Shares
S - Sale -1,871,312 1,780,930 -51.24 17.23 -32,242,706 30,685,424
2017-04-21 2017-04-19 4 HCC WARRIOR MET COAL, INC.
Common Stock
S - Sale -354,746 604,550 -36.98 17.81 -6,318,913 10,768,547
2017-04-21 2017-04-19 4 HCC WARRIOR MET COAL, INC.
Common Stock
S - Sale -551,322 939,550 -36.98 17.81 -9,820,423 16,735,734
2017-04-21 2017-04-19 4 HCC WARRIOR MET COAL, INC.
Common Stock
S - Sale -311,101 530,171 -36.98 17.81 -5,541,487 9,443,671
2017-04-21 2017-04-19 4 HCC WARRIOR MET COAL, INC.
Common Stock
S - Sale -31,773 54,147 -36.98 17.81 -565,957 964,493
2017-04-21 2017-04-19 4 HCC WARRIOR MET COAL, INC.
Common Stock
S - Sale -90,523 154,269 -36.98 17.81 -1,612,441 2,747,917
2017-04-21 2017-04-19 4 HCC WARRIOR MET COAL, INC.
Common Stock
S - Sale -235,641 401,575 -36.98 17.81 -4,197,355 7,153,055
2017-04-21 2017-04-19 4 HCC WARRIOR MET COAL, INC.
Common Stock
S - Sale -207,328 353,325 -36.98 17.81 -3,693,030 6,293,602
2017-04-21 2017-04-19 4 HCC WARRIOR MET COAL, INC.
Common Stock
S - Sale -112,189 191,190 -36.98 17.81 -1,998,367 3,405,572
2017-04-21 2017-04-19 4 HCC WARRIOR MET COAL, INC.
Common Stock
S - Sale -99,141 168,954 -36.98 17.81 -1,765,949 3,009,493
2017-04-21 2017-04-19 4 HCC WARRIOR MET COAL, INC.
Common Stock
S - Sale -860,366 1,466,214 -36.98 17.81 -15,325,269 26,116,937
2017-04-21 2017-04-19 4 HCC WARRIOR MET COAL, INC.
Common Stock
S - Sale -975,181 1,661,877 -36.98 17.81 -17,370,412 29,602,184
2017-04-14 2017-04-12 4 CJES C&J Energy Services, Inc.
Common Stock
S - Sale -1,000,000 6,520,635 -13.30 30.88 -30,875,000 201,324,606
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
12,992,191
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
12,681,713
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,623,228
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,658,512
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,915,786
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,992,349
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,599,925
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,441,053
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
11,196,405
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
11,846,005
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
11,314,429
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
12,992,191
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
12,681,713
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,623,228
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,658,512
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,915,786
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,992,349
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,599,925
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,441,053
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
11,196,405
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
11,846,005
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
11,314,429
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
12,992,191
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
12,681,713
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,623,228
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,658,512
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,915,786
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,992,349
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,599,925
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,441,053
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
11,196,405
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
11,846,005
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
11,314,429
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
12,992,191
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
12,681,713
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,623,228
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,658,512
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,915,786
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,992,349
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,599,925
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,441,053
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
11,196,405
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
11,846,005
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
11,314,429
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
12,992,191
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
12,681,713
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,623,228
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,658,512
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,915,786
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,992,349
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,599,925
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,441,053
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
11,196,405
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
11,846,005
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
11,314,429
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
12,992,191
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
12,681,713
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,623,228
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,658,512
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,915,786
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,992,349
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,599,925
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,441,053
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
11,196,405
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
11,846,005
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
11,314,429
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
12,992,191
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
12,681,713
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,623,228
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,658,512
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,915,786
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,992,349
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,599,925
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,441,053
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
11,196,405
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
11,846,005
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
11,314,429
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
12,992,191
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
12,681,713
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,623,228
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,658,512
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,915,786
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,992,349
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,599,925
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,441,053
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
11,196,405
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
11,846,005
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
11,314,429
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
12,992,191
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
12,681,713
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,623,228
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,658,512
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,915,786
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,992,349
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,599,925
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,441,053
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
11,196,405
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
11,846,005
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
11,314,429
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
12,992,191
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
12,681,713
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,623,228
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,658,512
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,915,786
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,992,349
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,599,925
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,441,053
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
11,196,405
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
11,846,005
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
11,314,429
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
12,992,191
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
12,681,713
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,623,228
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,658,512
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,915,786
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,992,349
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,599,925
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
10,441,053
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
11,196,405
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
11,846,005
2017-04-13 3 HCC WARRIOR MET COAL, INC.
Common Stock
11,314,429
2017-03-20 2017-03-17 4 NCR NCR CORP
Series A Convertible Preferred Stock
S - Sale -302 396 -43.27 1,594.98 -481,684 631,612
2017-03-20 2017-03-17 4 NCR NCR CORP
Series A Convertible Preferred Stock
S - Sale -86,416 112,910 -43.35 1,594.98 -137,831,792 180,089,192
2017-03-20 2017-03-17 4 NCR NCR CORP
Series A Convertible Preferred Stock
S - Sale -506 661 -43.36 1,594.98 -807,060 1,054,282
2017-03-20 2017-03-17 4 NCR NCR CORP
Series A Convertible Preferred Stock
S - Sale -254,776 332,888 -43.35 1,594.98 -406,362,624 530,949,702
2017-03-20 2017-03-17 4 NCR NCR CORP
Series A Convertible Preferred Stock
C - Conversion -80 698 -10.28
2017-03-20 2017-03-17 4 NCR NCR CORP
Series A Convertible Preferred Stock
C - Conversion -22,741 199,326 -10.24
2017-03-20 2017-03-17 4 NCR NCR CORP
Series A Convertible Preferred Stock
C - Conversion -133 1,167 -10.23
2017-03-20 2017-03-17 4 NCR NCR CORP
Series A Convertible Preferred Stock
C - Conversion -67,046 587,664 -10.24
2017-03-20 2017-03-17 4 NCR NCR CORP
Common Stock
S - Sale -2,670 0 -100.00 48.47 -129,415
2017-03-20 2017-03-17 4 NCR NCR CORP
Common Stock
S - Sale -758,729 0 -100.00 48.47 -36,775,595
2017-03-20 2017-03-17 4 NCR NCR CORP
Common Stock
S - Sale -4,438 0 -100.00 48.47 -215,110
2017-03-20 2017-03-17 4 NCR NCR CORP
Common Stock
S - Sale -2,236,916 0 -100.00 48.47 -108,423,319
2017-03-20 2017-03-17 4 NCR NCR CORP
Common Stock
C - Conversion 2,670 2,670
2017-03-20 2017-03-17 4 NCR NCR CORP
Common Stock
C - Conversion 758,729 758,729
2017-03-20 2017-03-17 4 NCR NCR CORP
Common Stock
C - Conversion 4,438 4,438
2017-03-20 2017-03-17 4 NCR NCR CORP
Common Stock
C - Conversion 2,236,916 2,236,916
2017-03-17 2017-03-15 4 PK Park Hotels & Resorts Inc.
Common Stock
S - Sale -28,062 16,616 -62.81 25.45 -714,178 422,877
2017-03-17 2017-03-15 4 PK Park Hotels & Resorts Inc.
Common Stock
S - Sale -4,727,299 2,799,114 -62.81 25.45 -120,309,760 71,237,451
2017-03-17 2017-03-15 4 PK Park Hotels & Resorts Inc.
Common Stock
S - Sale -9,797 5,802 -62.81 25.45 -249,334 147,661
2017-03-17 2017-03-15 4 PK Park Hotels & Resorts Inc.
Common Stock
S - Sale -166,521 98,597 -62.81 25.45 -4,237,959 2,509,294
2017-03-17 2017-03-15 4 PK Park Hotels & Resorts Inc.
Common Stock
S - Sale -1,623,542 980,192 -62.35 25.45 -41,319,144 24,945,886
2017-03-17 2017-03-15 4 PK Park Hotels & Resorts Inc.
Common Stock
S - Sale -47,096,232 28,487,266 -62.31 25.45 -1,198,599,104 725,000,920
2017-03-17 2017-03-15 4 HLT Hilton Worldwide Holdings Inc.
Common Stock
S - Sale -43,148 25,675 -62.69 54.57 -2,354,586 1,401,085
2017-03-17 2017-03-15 4 HLT Hilton Worldwide Holdings Inc.
Common Stock
S - Sale -7,268,143 4,325,050 -62.69 54.57 -396,622,564 236,017,978
2017-03-17 2017-03-15 4 HLT Hilton Worldwide Holdings Inc.
Common Stock
S - Sale -15,067 8,964 -62.70 54.57 -822,206 489,165
2017-03-17 2017-03-15 4 HLT Hilton Worldwide Holdings Inc.
Common Stock
S - Sale -256,021 152,352 -62.69 54.57 -13,971,066 8,313,849
2017-03-17 2017-03-15 4 HLT Hilton Worldwide Holdings Inc.
Common Stock
S - Sale -2,496,530 1,514,096 -62.25 54.57 -136,235,642 82,624,219
2017-03-17 2017-03-15 4 HLT Hilton Worldwide Holdings Inc.
Common Stock
S - Sale -72,421,091 44,002,828 -62.20 54.57 -3,952,018,936 2,401,234,324
2017-03-17 2017-03-15 4 HGV Hilton Grand Vacations Inc.
Common Stock
S - Sale -12,942 7,703 -62.69 24.32 -314,749 187,337
2017-03-17 2017-03-15 4 HGV Hilton Grand Vacations Inc.
Common Stock
S - Sale -2,180,442 1,297,514 -62.69 24.32 -53,028,349 31,555,540
2017-03-17 2017-03-15 4 HGV Hilton Grand Vacations Inc.
Common Stock
S - Sale -4,521 2,689 -62.70 24.32 -109,951 65,396
2017-03-17 2017-03-15 4 HGV Hilton Grand Vacations Inc.
Common Stock
S - Sale -76,807 45,706 -62.69 24.32 -1,867,946 1,111,570
2017-03-17 2017-03-15 4 HGV Hilton Grand Vacations Inc.
Common Stock
S - Sale -748,958 454,229 -62.25 24.32 -18,214,659 11,046,849
2017-03-17 2017-03-15 4 HGV Hilton Grand Vacations Inc.
Common Stock
S - Sale -21,726,330 13,200,848 -62.20 24.32 -528,384,346 321,044,623
2017-03-14 2017-03-10 4 STAY Extended Stay America, Inc.
Paired Shares
S - Sale -26,204 60,758 -30.13 16.70 -437,607 1,014,659
2017-03-14 2017-03-10 4 STAY Extended Stay America, Inc.
Paired Shares
S - Sale -1,643,244 3,892,216 -29.69 16.70 -27,442,175 65,000,007
2017-03-14 2017-03-10 4 STAY Extended Stay America, Inc.
Paired Shares
S - Sale -2,177,720 5,049,488 -30.13 16.70 -36,367,924 84,326,450
2017-03-14 2017-03-10 4 STAY Extended Stay America, Inc.
Paired Shares
S - Sale -1,013,041 2,348,943 -30.13 16.70 -16,917,785 39,227,348
2017-03-14 2017-03-10 4 STAY Extended Stay America, Inc.
Paired Shares
S - Sale -10,624 25,162 -29.69 16.70 -177,421 420,205
2017-03-14 2017-03-10 4 STAY Extended Stay America, Inc.
Paired Shares
S - Sale -527,612 1,246,027 -29.75 16.70 -8,811,120 20,808,651
2017-03-14 2017-03-10 4 STAY Extended Stay America, Inc.
Paired Shares
S - Sale -1,581,953 3,735,994 -29.75 16.70 -26,418,615 62,391,100
2017-03-14 2017-03-10 4 STAY Extended Stay America, Inc.
Paired Shares
S - Sale -1,561,268 3,687,142 -29.75 16.70 -26,073,176 61,575,271
2017-03-14 2017-03-10 4 NONE ESH Hospitality, Inc.
Paired Shares
S - Sale -26,204 60,758 -30.13 16.70 -437,607 1,014,659
2017-03-14 2017-03-10 4 NONE ESH Hospitality, Inc.
Paired Shares
S - Sale -1,643,244 3,892,216 -29.69 16.70 -27,442,175 65,000,007
2017-03-14 2017-03-10 4 NONE ESH Hospitality, Inc.
Paired Shares
S - Sale -2,177,720 5,049,488 -30.13 16.70 -36,367,924 84,326,450
2017-03-14 2017-03-10 4 NONE ESH Hospitality, Inc.
Paired Shares
S - Sale -1,013,041 2,348,943 -30.13 16.70 -16,917,785 39,227,348
2017-03-14 2017-03-10 4 NONE ESH Hospitality, Inc.
Paired Shares
S - Sale -10,624 25,162 -29.69 16.70 -177,421 420,205
2017-03-14 2017-03-10 4 NONE ESH Hospitality, Inc.
Paired Shares
S - Sale -527,612 1,246,027 -29.75 16.70 -8,811,120 20,808,651
2017-03-14 2017-03-10 4 NONE ESH Hospitality, Inc.
Paired Shares
S - Sale -1,581,953 3,735,994 -29.75 16.70 -26,418,615 62,391,100
2017-03-14 2017-03-10 4 NONE ESH Hospitality, Inc.
Paired Shares
S - Sale -1,561,268 3,687,142 -29.75 16.70 -26,073,176 61,575,271
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,810,660
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,826,461
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,527,139
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,482,529
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,483,751
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,482,296
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,510,057
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,487,330
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,459,860
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,934,917
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,810,660
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,826,461
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,527,139
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,482,529
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,483,751
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,482,296
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,510,057
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,487,330
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,459,860
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,934,917
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,810,660
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,826,461
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,527,139
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,482,529
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,483,751
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,482,296
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,510,057
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,487,330
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,459,860
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,934,917
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,810,660
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,826,461
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,527,139
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,482,529
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,483,751
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,482,296
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,510,057
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,487,330
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,459,860
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,934,917
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,810,660
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,826,461
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,527,139
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,482,529
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,483,751
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,482,296
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,510,057
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,487,330
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,459,860
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,934,917
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,810,660
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,826,461
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,527,139
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,482,529
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,483,751
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,482,296
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,510,057
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,487,330
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,459,860
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,934,917
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,810,660
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,826,461
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,527,139
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,482,529
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,483,751
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,482,296
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,510,057
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,487,330
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,459,860
2017-03-13 3 SN Sanchez Energy Corp
Common Stock
1,934,917
2017-03-03 2017-03-01 4 PFGC Performance Food Group Co
Common Stock
S - Sale -172,345 184,064 -48.36 23.30 -4,015,638 4,288,691
2017-03-03 2017-03-01 4 PFGC Performance Food Group Co
Common Stock
S - Sale -28,180 30,095 -48.36 23.30 -656,594 701,214
2017-03-03 2017-03-01 4 PFGC Performance Food Group Co
Common Stock
S - Sale -139,991 149,508 -48.36 23.30 -3,261,790 3,483,536
2017-03-03 2017-03-01 4 PFGC Performance Food Group Co
Common Stock
S - Sale -1,766,298 1,886,399 -48.36 23.30 -41,154,743 43,953,097
2017-03-03 2017-03-01 4 PFGC Performance Food Group Co
Common Stock
S - Sale -11,026,387 11,776,139 -48.36 23.30 -256,914,817 274,384,039
2017-03-03 3 CJES C&J Energy Services, Inc.
Common Stock
15,041,270
2017-03-03 3 CJES C&J Energy Services, Inc.
Common Stock
15,041,270
2017-03-03 3 CJES C&J Energy Services, Inc.
Common Stock
15,041,270
2017-03-03 3 CJES C&J Energy Services, Inc.
Common Stock
15,041,270
2017-03-03 3 CJES C&J Energy Services, Inc.
Common Stock
15,041,270
2017-03-03 3 CJES C&J Energy Services, Inc.
Common Stock
15,041,270
2017-03-03 3 CJES C&J Energy Services, Inc.
Common Stock
15,041,270
2017-02-15 2017-02-13 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -67,932 164,388 -29.24 6.10 -414,385 1,002,767
2017-02-15 2017-02-13 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -389,493 942,406 -29.24 6.10 -2,375,907 5,748,677
2017-02-15 2017-02-13 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -531,575 1,286,330 -29.24 6.10 -3,242,608 7,846,613
2017-02-13 2017-02-09 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -859 232,320 -0.37 6.20 -5,326 1,440,384
2017-02-13 2017-02-09 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -4,796 1,331,899 -0.36 6.20 -29,735 8,257,774
2017-02-13 2017-02-09 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -6,547 1,817,905 -0.36 6.20 -40,591 11,271,011
2017-02-13 2017-02-09 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -140,808 233,179 -37.65 6.10 -858,929 1,422,392
2017-02-13 2017-02-09 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -786,161 1,336,695 -37.03 6.10 -4,795,582 8,153,840
2017-02-13 2017-02-09 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -1,073,031 1,824,452 -37.03 6.10 -6,545,489 11,129,157
2017-02-08 2017-02-07 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -2,212 373,987 -0.59 6.20 -13,714 2,318,719
2017-02-08 2017-02-07 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -12,554 2,122,856 -0.59 6.20 -77,835 13,161,707
2017-02-08 2017-02-07 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -17,136 2,897,483 -0.59 6.20 -106,243 17,964,395
2017-02-08 2017-02-06 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -1,187 376,199 -0.31 6.21 -7,368 2,335,218
2017-02-08 2017-02-06 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -6,736 2,135,410 -0.31 6.21 -41,813 13,255,344
2017-02-08 2017-02-06 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -9,195 2,914,619 -0.31 6.21 -57,077 18,092,206
2017-02-02 2017-02-01 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -140,808 377,386 -27.17 6.35 -894,286 2,396,816
2017-02-02 2017-02-01 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -786,161 2,142,146 -26.85 6.35 -4,992,987 13,604,983
2017-02-02 2017-02-01 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -1,073,031 2,923,814 -26.85 6.35 -6,814,927 18,569,435
2017-02-02 2017-01-31 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -1,045 518,194 -0.20 6.41 -6,698 3,321,209
2017-02-02 2017-01-31 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -5,901 2,928,307 -0.20 6.41 -37,821 18,768,105
2017-02-02 2017-01-31 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -8,054 3,996,845 -0.20 6.41 -51,620 25,616,579
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
300,327,390
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
263,742,480
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
228,565,095
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
253,854,057
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
239,883,458
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
235,196,220
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
237,994,092
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
300,327,390
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
263,742,480
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
228,565,095
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
253,854,057
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
239,883,458
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
235,196,220
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
237,994,092
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
300,327,390
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
263,742,480
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
228,565,095
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
253,854,057
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
239,883,458
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
235,196,220
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
237,994,092
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
300,327,390
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
263,742,480
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
228,565,095
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
253,854,057
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
239,883,458
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
235,196,220
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
237,994,092
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
300,327,390
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
263,742,480
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
228,565,095
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
253,854,057
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
239,883,458
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
235,196,220
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
237,994,092
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
300,327,390
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
263,742,480
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
228,565,095
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
253,854,057
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
239,883,458
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
235,196,220
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
237,994,092
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
300,327,390
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
263,742,480
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
228,565,095
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
253,854,057
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
239,883,458
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
235,196,220
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
237,994,092
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
300,327,390
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
263,742,480
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
228,565,095
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
253,854,057
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
239,883,458
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
235,196,220
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
237,994,092
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
300,327,390
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
263,742,480
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
228,565,095
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
253,854,057
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
239,883,458
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
235,196,220
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
237,994,092
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
300,327,390
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
263,742,480
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
228,565,095
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
253,854,057
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
239,883,458
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
235,196,220
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
237,994,092
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
300,327,390
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
263,742,480
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
228,565,095
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
253,854,057
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
239,883,458
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
235,196,220
2017-02-01 3 INVH Invitation Homes Inc.
Common Stock
237,994,092
2017-01-31 2017-01-27 4 MIK Michaels Companies, Inc.
Common Stock
S - Sale -459,799 520,940 -46.88 21.28 -9,784,523 11,085,603
2017-01-31 2017-01-27 4 MIK Michaels Companies, Inc.
Common Stock
S - Sale -605,973 686,552 -46.88 21.28 -12,895,105 14,609,827
2017-01-31 2017-01-27 4 MIK Michaels Companies, Inc.
Common Stock
S - Sale -41,315 46,810 -46.88 21.28 -879,183 996,117
2017-01-31 2017-01-27 4 MIK Michaels Companies, Inc.
Common Stock
S - Sale -194,647 220,529 -46.88 21.28 -4,142,088 4,692,857
2017-01-31 2017-01-27 4 MIK Michaels Companies, Inc.
Common Stock
S - Sale -3,108,200 3,521,509 -46.88 21.28 -66,142,496 74,937,712
2017-01-31 2017-01-27 4 MIK Michaels Companies, Inc.
Common Stock
S - Sale -13,590,066 15,397,191 -46.88 21.28 -289,196,604 327,652,224
2017-01-31 2017-01-27 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -6,940 519,239 -1.32 6.53 -45,290 3,388,554
2017-01-31 2017-01-27 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -3,876 2,934,208 -0.13 6.53 -25,295 19,148,641
2017-01-31 2017-01-27 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -5,289 4,004,899 -0.13 6.53 -34,516 26,135,971
2017-01-27 2017-01-26 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -5,972 526,179 -1.12 6.50 -38,792 3,417,848
2017-01-27 2017-01-26 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -33,347 2,938,084 -1.12 6.50 -216,609 19,084,618
2017-01-27 2017-01-26 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -45,516 4,010,188 -1.12 6.50 -295,654 26,048,577
2017-01-27 2017-01-25 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -3,122 532,151 -0.58 6.80 -21,224 3,617,669
2017-01-27 2017-01-25 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -17,425 2,971,431 -0.58 6.80 -118,459 20,200,382
2017-01-27 2017-01-25 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -23,784 4,055,704 -0.58 6.80 -161,688 27,571,487
2017-01-25 2017-01-24 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -6,337 535,273 -1.17 6.73 -42,658 3,603,190
2017-01-25 2017-01-24 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -35,377 2,988,856 -1.17 6.73 -238,140 20,119,484
2017-01-25 2017-01-24 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -48,286 4,079,488 -1.17 6.73 -325,037 27,461,073
2017-01-25 2017-01-23 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -6,291 541,610 -1.15 6.42 -40,396 3,477,786
2017-01-25 2017-01-23 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -35,125 3,024,233 -1.15 6.42 -225,545 19,419,205
2017-01-25 2017-01-23 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -68,584 4,127,774 -1.63 6.42 -440,392 26,505,262
2017-01-23 2017-01-20 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -10,223 547,901 -1.83 6.40 -65,454 3,507,991
2017-01-23 2017-01-20 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -57,081 3,059,358 -1.83 6.40 -365,467 19,587,846
2017-01-23 2017-01-20 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -78,295 4,196,358 -1.83 6.40 -501,292 26,867,602
2017-01-23 2017-01-19 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -3,819 558,124 -0.68 6.27 -23,951 3,500,275
2017-01-23 2017-01-19 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -21,328 3,116,439 -0.68 6.27 -133,759 19,544,747
2017-01-23 2017-01-19 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -29,254 4,274,653 -0.68 6.27 -183,466 26,808,486
2017-01-20 2017-01-18 4 KOS Kosmos Energy Ltd.
Common Shares
S - Sale -37,752 232,249 -13.98 6.58 -248,408 1,528,198
2017-01-20 2017-01-18 4 KOS Kosmos Energy Ltd.
Common Shares
S - Sale -278,037 1,710,492 -13.98 6.58 -1,829,483 11,255,037
2017-01-20 2017-01-18 4 KOS Kosmos Energy Ltd.
Common Shares
S - Sale -334,865 2,060,103 -13.98 6.58 -2,203,412 13,555,478
2017-01-20 2017-01-18 4 KOS Kosmos Energy Ltd.
Common Shares
S - Sale -206,185 1,268,459 -13.98 6.58 -1,356,697 8,346,460
2017-01-20 2017-01-18 4 KOS Kosmos Energy Ltd.
Common Shares
S - Sale -12,643,161 77,781,209 -13.98 6.58 -83,191,999 511,800,355
2017-01-19 2017-01-18 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -7,021 561,943 -1.23 6.54 -45,924 3,675,669
2017-01-19 2017-01-18 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -39,198 3,137,767 -1.23 6.54 -256,394 20,524,134
2017-01-19 2017-01-18 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -53,781 4,303,907 -1.23 6.54 -351,782 28,151,856
2017-01-19 2017-01-17 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -51,701 568,964 -8.33 6.46 -333,988 3,675,507
2017-01-19 2017-01-17 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -167,409 3,176,965 -5.01 6.46 -1,081,462 20,523,194
2017-01-19 2017-01-17 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -395,890 4,357,688 -8.33 6.46 -2,557,449 28,150,664
2017-01-18 2017-01-13 4 PFGC Performance Food Group Co
Common Stock
S - Sale -127,663 356,409 -26.37 22.67 -2,894,120 8,079,792
2017-01-18 2017-01-13 4 PFGC Performance Food Group Co
Common Stock
S - Sale -20,874 58,275 -26.37 22.67 -473,214 1,321,094
2017-01-18 2017-01-13 4 PFGC Performance Food Group Co
Common Stock
S - Sale -103,697 289,499 -26.37 22.67 -2,350,811 6,562,942
2017-01-18 2017-01-13 4 PFGC Performance Food Group Co
Common Stock
S - Sale -1,308,369 3,652,697 -26.37 22.67 -29,660,725 82,806,641
2017-01-18 2017-01-13 4 PFGC Performance Food Group Co
Common Stock
S - Sale -8,167,694 22,802,526 -26.37 22.67 -185,161,623 516,933,264
2017-01-13 2017-01-12 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -2,245 620,665 -0.36 6.35 -14,256 3,941,223
2017-01-13 2017-01-12 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -12,097 3,344,374 -0.36 6.35 -76,816 21,236,775
2017-01-13 2017-01-12 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -17,194 4,753,578 -0.36 6.35 -109,182 30,185,220
2017-01-13 2017-01-11 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -2,898 622,910 -0.46 6.37 -18,472 3,970,491
2017-01-13 2017-01-11 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -15,615 3,356,471 -0.46 6.37 -99,532 21,394,482
2017-01-13 2017-01-11 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -22,195 4,770,772 -0.46 6.37 -141,473 30,409,378
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
149,380,545
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
81,932,569
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
79,771,220
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
79,540,611
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
86,482,111
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
79,567,487
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
79,535,017
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
149,380,545
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
81,932,569
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
79,771,220
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
79,540,611
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
86,482,111
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
79,567,487
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
79,535,017
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
149,380,545
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
81,932,569
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
79,771,220
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
79,540,611
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
86,482,111
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
79,567,487
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
79,535,017
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
149,380,545
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
81,932,569
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
79,771,220
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
79,540,611
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
86,482,111
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
79,567,487
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
79,535,017
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
149,380,545
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
81,932,569
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
79,771,220
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
79,540,611
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
86,482,111
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
79,567,487
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
79,535,017
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
149,380,545
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
81,932,569
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
79,771,220
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
79,540,611
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
86,482,111
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
79,567,487
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
79,535,017
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
149,380,545
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
81,932,569
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
79,771,220
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
79,540,611
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
86,482,111
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
79,567,487
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
79,535,017
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
149,380,545
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
81,932,569
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
79,771,220
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
79,540,611
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
86,482,111
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
79,567,487
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
79,535,017
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
149,380,545
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
81,932,569
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
79,771,220
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
79,540,611
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
86,482,111
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
79,567,487
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
79,535,017
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
149,380,545
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
81,932,569
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
79,771,220
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
79,540,611
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
86,482,111
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
79,567,487
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
79,535,017
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
149,380,545
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
81,932,569
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
79,771,220
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
79,540,611
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
86,482,111
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
79,567,487
2017-01-13 3 PK Park Hotels & Resorts Inc.
Common Stock
79,535,017
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
74,690,282
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
40,966,289
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
39,885,615
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
39,770,312
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
43,241,058
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
39,783,747
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
39,767,513
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
74,690,282
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
40,966,289
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
39,885,615
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
39,770,312
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
43,241,058
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
39,783,747
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
39,767,513
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
74,690,282
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
40,966,289
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
39,885,615
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
39,770,312
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
43,241,058
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
39,783,747
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
39,767,513
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
74,690,282
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
40,966,289
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
39,885,615
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
39,770,312
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
43,241,058
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
39,783,747
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
39,767,513
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
74,690,282
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
40,966,289
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
39,885,615
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
39,770,312
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
43,241,058
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
39,783,747
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
39,767,513
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
74,690,282
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
40,966,289
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
39,885,615
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
39,770,312
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
43,241,058
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
39,783,747
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
39,767,513
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
74,690,282
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
40,966,289
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
39,885,615
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
39,770,312
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
43,241,058
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
39,783,747
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
39,767,513
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
74,690,282
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
40,966,289
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
39,885,615
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
39,770,312
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
43,241,058
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
39,783,747
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
39,767,513
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
74,690,282
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
40,966,289
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
39,885,615
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
39,770,312
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
43,241,058
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
39,783,747
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
39,767,513
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
74,690,282
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
40,966,289
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
39,885,615
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
39,770,312
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
43,241,058
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
39,783,747
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
39,767,513
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
74,690,282
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
40,966,289
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
39,885,615
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
39,770,312
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
43,241,058
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
39,783,747
2017-01-13 3 HGV Hilton Grand Vacations Inc.
Common Stock
39,767,513
2017-01-12 2017-01-10 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -343,939 0 -100.00 35.00 -12,037,865
2017-01-12 2017-01-10 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -4,299 0 -100.00 35.00 -150,465
2017-01-12 2017-01-10 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -80,415 0 -100.00 35.00 -2,814,525
2017-01-12 2017-01-10 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -23,507 0 -100.00 35.00 -822,745
2017-01-12 2017-01-10 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -4,107 0 -100.00 35.00 -143,745
2017-01-12 2017-01-10 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -659,693 0 -100.00 35.00 -23,089,255
2017-01-12 2017-01-10 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -812,707 0 -100.00 35.00 -28,444,745
2017-01-12 2017-01-10 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -387,643 0 -100.00 35.00 -13,567,505
2017-01-12 2017-01-10 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -1,331,054 0 -100.00 35.00 -46,586,890
2017-01-12 2017-01-10 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -192,137 0 -100.00 35.00 -6,724,795
2017-01-12 2017-01-10 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -468,959 0 -100.00 35.00 -16,413,565
2017-01-12 2017-01-10 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -1,715,068 0 -100.00 35.00 -60,027,380
2017-01-12 2017-01-10 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -667,556 0 -100.00 35.00 -23,364,460
2017-01-12 2017-01-10 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -1,907,396 0 -100.00 35.00 -66,758,860
2017-01-12 2017-01-10 4 HPP Hudson Pacific Properties, Inc.
Common Stock
S - Sale -345,053 0 -100.00 35.00 -12,076,855
2017-01-12 2017-01-10 4 HPP Hudson Pacific Properties, Inc.
Common Stock
S - Sale -4,313 0 -100.00 35.00 -150,955
2017-01-12 2017-01-10 4 HPP Hudson Pacific Properties, Inc.
Common Stock
S - Sale -80,675 0 -100.00 35.00 -2,823,625
2017-01-12 2017-01-10 4 HPP Hudson Pacific Properties, Inc.
Common Stock
S - Sale -23,584 0 -100.00 35.00 -825,440
2017-01-12 2017-01-10 4 HPP Hudson Pacific Properties, Inc.
Common Stock
S - Sale -4,120 0 -100.00 35.00 -144,200
2017-01-12 2017-01-10 4 HPP Hudson Pacific Properties, Inc.
Common Stock
S - Sale -661,829 0 -100.00 35.00 -23,164,015
2017-01-12 2017-01-10 4 HPP Hudson Pacific Properties, Inc.
Common Stock
S - Sale -815,338 0 -100.00 35.00 -28,536,830
2017-01-12 2017-01-10 4 HPP Hudson Pacific Properties, Inc.
Common Stock
S - Sale -388,898 0 -100.00 35.00 -13,611,430
2017-01-12 2017-01-10 4 HPP Hudson Pacific Properties, Inc.
Common Stock
S - Sale -1,335,362 0 -100.00 35.00 -46,737,670
2017-01-12 2017-01-10 4 HPP Hudson Pacific Properties, Inc.
Common Stock
S - Sale -192,760 0 -100.00 35.00 -6,746,600
2017-01-12 2017-01-10 4 HPP Hudson Pacific Properties, Inc.
Common Stock
S - Sale -470,476 0 -100.00 35.00 -16,466,660
2017-01-12 2017-01-10 4 HPP Hudson Pacific Properties, Inc.
Common Stock
S - Sale -1,720,620 0 -100.00 35.00 -60,221,700
2017-01-12 2017-01-10 4 HPP Hudson Pacific Properties, Inc.
Common Stock
S - Sale -669,716 0 -100.00 35.00 -23,440,060
2017-01-12 2017-01-10 4 HPP Hudson Pacific Properties, Inc.
Common Stock
S - Sale -1,913,567 0 -100.00 35.00 -66,974,845
2016-12-20 2016-12-16 4 MIK Michaels Companies, Inc.
Common Stock
S - Sale -306,533 980,739 -23.81 22.04 -6,755,987 21,615,488
2016-12-20 2016-12-16 4 MIK Michaels Companies, Inc.
Common Stock
S - Sale -403,982 1,292,525 -23.81 22.04 -8,903,763 28,487,251
2016-12-20 2016-12-16 4 MIK Michaels Companies, Inc.
Common Stock
S - Sale -27,544 88,125 -23.81 22.04 -607,070 1,942,275
2016-12-20 2016-12-16 4 MIK Michaels Companies, Inc.
Common Stock
S - Sale -129,765 415,176 -23.81 22.04 -2,860,021 9,150,479
2016-12-20 2016-12-16 4 MIK Michaels Companies, Inc.
Common Stock
S - Sale -2,072,133 6,629,709 -23.81 22.04 -45,669,811 146,118,786
2016-12-20 2016-12-16 4 MIK Michaels Companies, Inc.
Common Stock
S - Sale -9,060,043 28,987,257 -23.81 22.04 -199,683,348 638,879,144
2016-12-20 2016-12-16 4 STAY Extended Stay America, Inc.
Paired Shares
S - Sale -13,410 86,962 -13.36 16.41 -220,058 1,427,046
2016-12-20 2016-12-16 4 STAY Extended Stay America, Inc.
Paired Shares
S - Sale -842,203 5,535,460 -13.21 16.41 -13,820,551 90,836,899
2016-12-20 2016-12-16 4 STAY Extended Stay America, Inc.
Paired Shares
S - Sale -1,114,508 7,227,208 -13.36 16.41 -18,289,076 118,598,483
2016-12-20 2016-12-16 4 STAY Extended Stay America, Inc.
Paired Shares
S - Sale -518,453 3,361,984 -13.36 16.41 -8,507,814 55,170,157
2016-12-20 2016-12-16 4 STAY Extended Stay America, Inc.
Paired Shares
S - Sale -5,447 35,786 -13.21 16.41 -89,385 587,248
2016-12-20 2016-12-16 4 STAY Extended Stay America, Inc.
Paired Shares
S - Sale -270,354 1,773,639 -13.23 16.41 -4,436,509 29,105,416
2016-12-20 2016-12-16 4 STAY Extended Stay America, Inc.
Paired Shares
S - Sale -810,613 5,317,947 -13.23 16.41 -13,302,159 87,267,510
2016-12-20 2016-12-16 4 STAY Extended Stay America, Inc.
Paired Shares
S - Sale -800,012 5,248,410 -13.23 16.41 -13,128,197 86,126,408
2016-12-20 2016-12-16 4 NONE ESH Hospitality, Inc.
Paired Shares
S - Sale -13,410 86,962 -13.36 16.41 -220,058 1,427,046
2016-12-20 2016-12-16 4 NONE ESH Hospitality, Inc.
Paired Shares
S - Sale -842,203 5,535,460 -13.21 16.41 -13,820,551 90,836,899
2016-12-20 2016-12-16 4 NONE ESH Hospitality, Inc.
Paired Shares
S - Sale -1,114,508 7,227,208 -13.36 16.41 -18,289,076 118,598,483
2016-12-20 2016-12-16 4 NONE ESH Hospitality, Inc.
Paired Shares
S - Sale -518,453 3,361,984 -13.36 16.41 -8,507,814 55,170,157
2016-12-20 2016-12-16 4 NONE ESH Hospitality, Inc.
Paired Shares
S - Sale -5,447 35,786 -13.21 16.41 -89,385 587,248
2016-12-20 2016-12-16 4 NONE ESH Hospitality, Inc.
Paired Shares
S - Sale -270,354 1,773,639 -13.23 16.41 -4,436,509 29,105,416
2016-12-20 2016-12-16 4 NONE ESH Hospitality, Inc.
Paired Shares
S - Sale -810,613 5,317,947 -13.23 16.41 -13,302,159 87,267,510
2016-12-20 2016-12-16 4 NONE ESH Hospitality, Inc.
Paired Shares
S - Sale -800,012 5,248,410 -13.23 16.41 -13,128,197 86,126,408
2016-12-13 2016-12-12 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -20,649 3,372,086 -0.61 5.62 -115,950 18,935,275
2016-12-13 2016-12-12 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -29,351 4,792,967 -0.61 5.62 -164,815 26,913,948
2016-12-13 2016-12-09 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -20,649 3,392,735 -0.60 5.75 -118,767 19,513,994
2016-12-13 2016-12-09 4 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
S - Sale -29,351 4,822,318 -0.60 5.75 -168,818 27,736,526
2016-11-30 2016-11-28 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -148,092 80,415 -64.81 32.50 -4,812,990 2,613,488
2016-11-30 2016-11-28 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -43,292 23,507 -64.81 32.50 -1,406,990 763,978
2016-11-30 2016-11-28 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -7,564 4,107 -64.81 32.50 -245,830 133,478
2016-11-30 2016-11-28 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -1,214,894 659,693 -64.81 32.50 -39,484,055 21,440,022
2016-11-30 2016-11-28 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -1,496,685 812,707 -64.81 32.50 -48,642,262 26,412,978
2016-11-30 2016-11-28 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -713,884 387,643 -64.81 32.50 -23,201,230 12,598,398
2016-11-30 2016-11-28 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -2,451,274 1,331,054 -64.81 32.50 -79,666,405 43,259,255
2016-11-30 2016-11-28 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -354,823 192,137 -64.87 32.50 -11,531,748 6,244,452
2016-11-30 2016-11-28 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -865,168 468,959 -64.85 32.50 -28,117,960 15,241,168
2016-11-30 2016-11-28 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -3,164,080 1,715,068 -64.85 32.50 -102,832,600 55,739,710
2016-11-30 2016-11-28 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -1,231,555 667,556 -64.85 32.50 -40,025,538 21,695,570
2016-11-30 2016-11-28 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -3,518,893 1,907,396 -64.85 32.50 -114,364,022 61,990,370
2016-11-30 2016-11-28 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -690,000 343,939 -66.74 32.50 -22,425,000 11,178,018
2016-11-30 2016-11-28 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -8,624 4,299 -66.73 32.50 -280,280 139,718
2016-11-30 2016-11-28 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -13,234 0 -100.00 32.50 -430,105
2016-11-30 2016-11-28 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -3,868 0 -100.00 32.50 -125,710
2016-11-30 2016-11-28 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -676 0 -100.00 32.50 -21,970
2016-11-30 2016-11-28 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -108,563 0 -100.00 32.50 -3,528,298
2016-11-30 2016-11-28 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -133,743 0 -100.00 32.50 -4,346,648
2016-11-30 2016-11-28 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -63,793 0 -100.00 32.50 -2,073,272
2016-11-30 2016-11-28 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -219,045 0 -100.00 32.50 -7,118,962
2016-11-30 2016-11-28 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -30,638 0 -100.00 32.50 -995,735
2016-11-30 2016-11-28 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -75,642 0 -100.00 32.50 -2,458,365
2016-11-30 2016-11-28 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -276,637 0 -100.00 32.50 -8,990,702
2016-11-30 2016-11-28 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -107,674 0 -100.00 32.50 -3,499,405
2016-11-30 2016-11-28 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -307,659 0 -100.00 32.50 -9,998,918
2016-11-23 2016-11-21 4 PFGC Performance Food Group Co
Common Stock
S - Sale -127,663 484,072 -20.87 22.66 -2,892,844 10,969,072
2016-11-23 2016-11-21 4 PFGC Performance Food Group Co
Common Stock
S - Sale -20,874 79,149 -20.87 22.66 -473,005 1,793,516
2016-11-23 2016-11-21 4 PFGC Performance Food Group Co
Common Stock
S - Sale -103,697 393,196 -20.87 22.66 -2,349,774 8,909,821
2016-11-23 2016-11-21 4 PFGC Performance Food Group Co
Common Stock
S - Sale -1,308,369 4,961,066 -20.87 22.66 -29,647,642 112,417,756
2016-11-23 2016-11-21 4 PFGC Performance Food Group Co
Common Stock
S - Sale -8,167,694 30,970,220 -20.87 22.66 -185,079,946 701,785,185
2016-11-22 2016-11-18 4 STAY Extended Stay America, Inc.
Paired Shares
S - Sale -14,336 100,372 -12.50 14.76 -211,599 1,481,491
2016-11-22 2016-11-18 4 STAY Extended Stay America, Inc.
Paired Shares
S - Sale -899,649 6,377,663 -12.36 14.76 -13,278,819 94,134,306
2016-11-22 2016-11-18 4 STAY Extended Stay America, Inc.
Paired Shares
S - Sale -1,191,456 8,341,716 -12.50 14.76 -17,585,891 123,123,728
2016-11-22 2016-11-18 4 STAY Extended Stay America, Inc.
Paired Shares
S - Sale -554,247 3,880,437 -12.50 14.76 -8,180,686 57,275,250
2016-11-22 2016-11-18 4 STAY Extended Stay America, Inc.
Paired Shares
S - Sale -5,816 41,233 -12.36 14.76 -85,844 608,599
2016-11-22 2016-11-18 4 STAY Extended Stay America, Inc.
Paired Shares
S - Sale -288,826 2,043,993 -12.38 14.76 -4,263,072 30,169,337
2016-11-22 2016-11-18 4 STAY Extended Stay America, Inc.
Paired Shares
S - Sale -865,997 6,128,560 -12.38 14.76 -12,782,116 90,457,546
2016-11-22 2016-11-18 4 STAY Extended Stay America, Inc.
Paired Shares
S - Sale -854,673 6,048,422 -12.38 14.76 -12,614,973 89,274,709
2016-11-22 2016-11-18 4 NONE ESH Hospitality, Inc.
Paired Shares
S - Sale -14,336 100,372 -12.50 14.76 -211,599 1,481,491
2016-11-22 2016-11-18 4 NONE ESH Hospitality, Inc.
Paired Shares
S - Sale -899,649 6,377,663 -12.36 14.76 -13,278,819 94,134,306
2016-11-22 2016-11-18 4 NONE ESH Hospitality, Inc.
Paired Shares
S - Sale -1,191,456 8,341,716 -12.50 14.76 -17,585,891 123,123,728
2016-11-22 2016-11-18 4 NONE ESH Hospitality, Inc.
Paired Shares
S - Sale -554,247 3,880,437 -12.50 14.76 -8,180,686 57,275,250
2016-11-22 2016-11-18 4 NONE ESH Hospitality, Inc.
Paired Shares
S - Sale -5,816 41,233 -12.36 14.76 -85,844 608,599
2016-11-22 2016-11-18 4 NONE ESH Hospitality, Inc.
Paired Shares
S - Sale -288,826 2,043,993 -12.38 14.76 -4,263,072 30,169,337
2016-11-22 2016-11-18 4 NONE ESH Hospitality, Inc.
Paired Shares
S - Sale -865,997 6,128,560 -12.38 14.76 -12,782,116 90,457,546
2016-11-22 2016-11-18 4 NONE ESH Hospitality, Inc.
Paired Shares
S - Sale -854,673 6,048,422 -12.38 14.76 -12,614,973 89,274,709
2016-11-18 2016-11-16 4 SUM Summit Materials, Inc.
LP Units of Summit Materials Holdings L.P.
C - Conversion -12,501 0 -100.00
2016-11-18 2016-11-16 4 SUM Summit Materials, Inc.
LP Units of Summit Materials Holdings L.P.
C - Conversion -21,513 0 -100.00
2016-11-18 2016-11-16 4 SUM Summit Materials, Inc.
LP Units of Summit Materials Holdings L.P.
C - Conversion -253,891 0 -100.00
2016-11-18 2016-11-16 4 SUM Summit Materials, Inc.
LP Units of Summit Materials Holdings L.P.
C - Conversion -2,814,207 0 -100.00
2016-11-18 2016-11-16 4 SUM Summit Materials, Inc.
LP Units of Summit Materials Holdings L.P.
C - Conversion -13,349,610 0 -100.00
2016-11-18 2016-11-16 4 SUM Summit Materials, Inc.
Class A Common Stock
S - Sale -12,501 0 -100.00 21.87 -273,397
2016-11-18 2016-11-16 4 SUM Summit Materials, Inc.
Class A Common Stock
C - Conversion 12,501 12,501
2016-11-18 2016-11-16 4 SUM Summit Materials, Inc.
Class A Common Stock
S - Sale -21,513 0 -100.00 21.87 -470,489
2016-11-18 2016-11-16 4 SUM Summit Materials, Inc.
Class A Common Stock
C - Conversion 21,513 21,513
2016-11-18 2016-11-16 4 SUM Summit Materials, Inc.
Class A Common Stock
S - Sale -253,891 0 -100.00 21.87 -5,552,596
2016-11-18 2016-11-16 4 SUM Summit Materials, Inc.
Class A Common Stock
C - Conversion 253,891 253,891
2016-11-18 2016-11-16 4 SUM Summit Materials, Inc.
Class A Common Stock
S - Sale -2,814,207 0 -100.00 21.87 -61,546,707
2016-11-18 2016-11-16 4 SUM Summit Materials, Inc.
Class A Common Stock
C - Conversion 2,814,207 2,814,207
2016-11-18 2016-11-16 4 SUM Summit Materials, Inc.
Class A Common Stock
S - Sale -13,349,610 0 -100.00 21.87 -291,955,971
2016-11-18 2016-11-16 4 SUM Summit Materials, Inc.
Class A Common Stock
C - Conversion 13,349,610 13,349,610
2016-11-17 2016-11-15 4 HLT Hilton Worldwide Holdings Inc.
Common Stock
S - Sale -29,075 206,467 -12.34 23.37 -679,483 4,825,134
2016-11-17 2016-11-15 4 HLT Hilton Worldwide Holdings Inc.
Common Stock
S - Sale -4,959,412 34,779,575 -12.48 23.37 -115,901,458 812,798,668
2016-11-17 2016-11-15 4 HLT Hilton Worldwide Holdings Inc.
Common Stock
S - Sale -172,522 1,225,127 -12.34 23.37 -4,031,839 28,631,218
2016-11-17 2016-11-15 4 HLT Hilton Worldwide Holdings Inc.
Common Stock
S - Sale -10,151 72,087 -12.34 23.37 -237,229 1,684,673
2016-11-17 2016-11-15 4 HLT Hilton Worldwide Holdings Inc.
Common Stock
S - Sale -1,660,485 12,039,985 -12.12 23.37 -38,805,534 281,374,449
2016-11-17 2016-11-15 4 HLT Hilton Worldwide Holdings Inc.
Common Stock
S - Sale -34,135,600 349,468,083 -8.90 23.37 -797,748,972 8,167,069,100
2016-11-17 2016-11-15 4 HLT Hilton Worldwide Holdings Inc.
Common Stock
S - Sale -14,032,755 0 -100.00 23.37 -327,945,484
2016-10-06 2016-10-04 4 NONE ESH Hospitality, Inc.
Paired Shares
S - Sale -15,206 114,708 -11.70 14.16 -215,317 1,624,265
2016-10-06 2016-10-04 4 NONE ESH Hospitality, Inc.
Paired Shares
S - Sale -962,659 7,277,312 -11.68 14.16 -13,631,251 103,046,738
2016-10-06 2016-10-04 4 NONE ESH Hospitality, Inc.
Paired Shares
S - Sale -1,263,748 9,533,172 -11.70 14.16 -17,894,672 134,989,716
2016-10-06 2016-10-04 4 NONE ESH Hospitality, Inc.
Paired Shares
S - Sale -587,874 4,434,684 -11.70 14.16 -8,324,296 62,795,125
2016-10-06 2016-10-04 4 NONE ESH Hospitality, Inc.
Paired Shares
S - Sale -6,224 47,049 -11.68 14.16 -88,132 666,214
2016-10-06 2016-10-04 4 NONE ESH Hospitality, Inc.
Paired Shares
S - Sale -308,679 2,332,819 -11.69 14.16 -4,370,895 33,032,717
2016-10-06 2016-10-04 4 NONE ESH Hospitality, Inc.
Paired Shares
S - Sale -925,524 6,994,557 -11.69 14.16 -13,105,420 99,042,927
2016-10-06 2016-10-04 4 NONE ESH Hospitality, Inc.
Paired Shares
S - Sale -913,420 6,903,095 -11.69 14.16 -12,934,027 97,747,825
2016-10-06 2016-10-04 4 STAY Extended Stay America, Inc.
Paired Shares
S - Sale -15,206 114,708 -11.70 14.16 -215,317 1,624,265
2016-10-06 2016-10-04 4 STAY Extended Stay America, Inc.
Paired Shares
S - Sale -962,659 7,277,312 -11.68 14.16 -13,631,251 103,046,738
2016-10-06 2016-10-04 4 STAY Extended Stay America, Inc.
Paired Shares
S - Sale -1,263,748 9,533,172 -11.70 14.16 -17,894,672 134,989,716
2016-10-06 2016-10-04 4 STAY Extended Stay America, Inc.
Paired Shares
S - Sale -587,874 4,434,684 -11.70 14.16 -8,324,296 62,795,125
2016-10-06 2016-10-04 4 STAY Extended Stay America, Inc.
Paired Shares
S - Sale -6,224 47,049 -11.68 14.16 -88,132 666,214
2016-10-06 2016-10-04 4 STAY Extended Stay America, Inc.
Paired Shares
S - Sale -308,679 2,332,819 -11.69 14.16 -4,370,895 33,032,717
2016-10-06 2016-10-04 4 STAY Extended Stay America, Inc.
Paired Shares
S - Sale -925,524 6,994,557 -11.69 14.16 -13,105,420 99,042,927
2016-10-06 2016-10-04 4 STAY Extended Stay America, Inc.
Paired Shares
S - Sale -913,420 6,903,095 -11.69 14.16 -12,934,027 97,747,825
2016-10-04 3 SD SANDRIDGE ENERGY INC
Common Stock
995,116
2016-10-04 3 SD SANDRIDGE ENERGY INC
Common Stock
951,996
2016-10-04 3 SD SANDRIDGE ENERGY INC
Common Stock
1,382,718
2016-10-04 3 SD SANDRIDGE ENERGY INC
Common Stock
1,122,081
2016-10-04 3 SD SANDRIDGE ENERGY INC
Common Stock
1,047,339
2016-10-04 3 SD SANDRIDGE ENERGY INC
Common Stock
1,047,339
2016-10-04 3 SD SANDRIDGE ENERGY INC
Common Stock
995,116
2016-10-04 3 SD SANDRIDGE ENERGY INC
Common Stock
951,996
2016-10-04 3 SD SANDRIDGE ENERGY INC
Common Stock
1,382,718
2016-10-04 3 SD SANDRIDGE ENERGY INC
Common Stock
1,122,081
2016-10-04 3 SD SANDRIDGE ENERGY INC
Common Stock
1,047,339
2016-10-04 3 SD SANDRIDGE ENERGY INC
Common Stock
1,047,339
2016-10-04 3 SD SANDRIDGE ENERGY INC
Common Stock
995,116
2016-10-04 3 SD SANDRIDGE ENERGY INC
Common Stock
951,996
2016-10-04 3 SD SANDRIDGE ENERGY INC
Common Stock
1,382,718
2016-10-04 3 SD SANDRIDGE ENERGY INC
Common Stock
1,122,081
2016-10-04 3 SD SANDRIDGE ENERGY INC
Common Stock
1,047,339
2016-10-04 3 SD SANDRIDGE ENERGY INC
Common Stock
1,047,339
2016-10-04 3 SD SANDRIDGE ENERGY INC
Common Stock
995,116
2016-10-04 3 SD SANDRIDGE ENERGY INC
Common Stock
951,996
2016-10-04 3 SD SANDRIDGE ENERGY INC
Common Stock
1,382,718
2016-10-04 3 SD SANDRIDGE ENERGY INC
Common Stock
1,122,081
2016-10-04 3 SD SANDRIDGE ENERGY INC
Common Stock
1,047,339
2016-10-04 3 SD SANDRIDGE ENERGY INC
Common Stock
1,047,339
2016-10-04 3 SD SANDRIDGE ENERGY INC
Common Stock
995,116
2016-10-04 3 SD SANDRIDGE ENERGY INC
Common Stock
951,996
2016-10-04 3 SD SANDRIDGE ENERGY INC
Common Stock
1,382,718
2016-10-04 3 SD SANDRIDGE ENERGY INC
Common Stock
1,122,081
2016-10-04 3 SD SANDRIDGE ENERGY INC
Common Stock
1,047,339
2016-10-04 3 SD SANDRIDGE ENERGY INC
Common Stock
1,047,339
2016-10-04 3 SD SANDRIDGE ENERGY INC
Common Stock
995,116
2016-10-04 3 SD SANDRIDGE ENERGY INC
Common Stock
951,996
2016-10-04 3 SD SANDRIDGE ENERGY INC
Common Stock
1,382,718
2016-10-04 3 SD SANDRIDGE ENERGY INC
Common Stock
1,122,081
2016-10-04 3 SD SANDRIDGE ENERGY INC
Common Stock
1,047,339
2016-10-04 3 SD SANDRIDGE ENERGY INC
Common Stock
1,047,339
2016-10-04 3 SD SANDRIDGE ENERGY INC
Common Stock
995,116
2016-10-04 3 SD SANDRIDGE ENERGY INC
Common Stock
951,996
2016-10-04 3 SD SANDRIDGE ENERGY INC
Common Stock
1,382,718
2016-10-04 3 SD SANDRIDGE ENERGY INC
Common Stock
1,122,081
2016-10-04 3 SD SANDRIDGE ENERGY INC
Common Stock
1,047,339
2016-10-04 3 SD SANDRIDGE ENERGY INC
Common Stock
1,047,339
2016-09-13 2016-09-09 4 CTLT Catalent, Inc.
Common Stock
S - Sale -17,100,705 0 -100.00 23.58 -403,234,624
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,003,457
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,090,684
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,442,636
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,061,139
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,108,139
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,040,179
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,046,878
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,003,457
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,090,684
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,442,636
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,061,139
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,108,139
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,040,179
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,046,878
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,003,457
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,090,684
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,442,636
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,061,139
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,108,139
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,040,179
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,046,878
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,003,457
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,090,684
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,442,636
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,061,139
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,108,139
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,040,179
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,046,878
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,003,457
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,090,684
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,442,636
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,061,139
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,108,139
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,040,179
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,046,878
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,003,457
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,090,684
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,442,636
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,061,139
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,108,139
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,040,179
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,046,878
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,003,457
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,090,684
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,442,636
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,061,139
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,108,139
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,040,179
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,046,878
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,003,457
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,090,684
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,442,636
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,061,139
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,108,139
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,040,179
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,046,878
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,003,457
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,090,684
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,442,636
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,061,139
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,108,139
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,040,179
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,046,878
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,003,457
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,090,684
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,442,636
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,061,139
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,108,139
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,040,179
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,046,878
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,003,457
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,090,684
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,442,636
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,061,139
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,108,139
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,040,179
2016-09-12 3 NONE Titan Energy, LLC
Common Shares
1,046,878
2016-08-18 2016-08-16 4 BRX Brixmor Property Group Inc.
Common Units of Brixmor Operating Partnership LP
C - Conversion -1,622,312 0 -100.00
2016-08-18 2016-08-16 4 BRX Brixmor Property Group Inc.
Common Units of Brixmor Operating Partnership LP
C - Conversion -268,738 0 -100.00
2016-08-18 2016-08-16 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -6,605 0 -100.00 27.30 -180,316
2016-08-18 2016-08-16 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -1,286 0 -100.00 27.30 -35,108
2016-08-18 2016-08-16 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -963,517 0 -100.00 27.30 -26,304,014
2016-08-18 2016-08-16 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -61,424 0 -100.00 27.30 -1,676,875
2016-08-18 2016-08-16 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -35,802 0 -100.00 27.30 -977,395
2016-08-18 2016-08-16 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -4,822,187 0 -100.00 27.30 -131,645,705
2016-08-18 2016-08-16 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -2,241,198 0 -100.00 27.30 -61,184,705
2016-08-18 2016-08-16 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -20,986,898 0 -100.00 27.30 -572,942,315
2016-08-18 2016-08-16 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -934,828 341,326 -73.25 27.30 -25,520,804 9,318,200
2016-08-18 2016-08-16 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -461,453 114,259 -80.15 27.30 -12,597,667 3,119,271
2016-08-18 2016-08-16 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -9,993,752 0 -100.00 27.30 -272,829,430
2016-08-18 2016-08-16 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -1,622,312 0 -100.00 27.30 -44,289,118
2016-08-18 2016-08-16 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -268,738 0 -100.00 27.30 -7,336,547
2016-08-18 2016-08-16 4 BRX Brixmor Property Group Inc.
Common Stock
C - Conversion 1,622,312 1,622,312
2016-08-18 2016-08-16 4 BRX Brixmor Property Group Inc.
Common Stock
C - Conversion 268,738 268,738
2016-08-18 2016-08-04 4 BRX Brixmor Property Group Inc.
Common Stock
P - Purchase 426,960 0 -100.00 28.30 12,082,968
2016-08-18 2016-06-15 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -31,800 0 -100.00 25.95 -825,210
2016-08-18 2016-06-14 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -66,037 0 -100.00 25.73 -1,699,132
2016-08-18 2016-05-25 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -23,275 0 -100.00 24.74 -575,824
2016-08-18 2016-05-24 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -63,325 0 -100.00 25.07 -1,587,558
2016-08-18 2016-05-09 4 BRX Brixmor Property Group Inc.
Common Stock
P - Purchase 62,221 0 -100.00 26.57 1,653,212
2016-08-18 2016-05-04 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -46,972 0 -100.00 25.56 -1,200,604
2016-08-18 2016-05-03 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -104,228 0 -100.00 25.31 -2,638,011
2016-08-18 2016-05-02 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -153,544 0 -100.00 25.38 -3,896,947
2016-08-09 2016-08-05 4 BRX Brixmor Property Group Inc.
Common Units of Brixmor Operating Partnership LP
C - Conversion -1,135,660 1,622,312 -41.18
2016-08-09 2016-08-05 4 BRX Brixmor Property Group Inc.
Common Units of Brixmor Operating Partnership LP
C - Conversion -188,124 268,738 -41.18
2016-08-09 2016-08-05 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -4,624 6,605 -41.18 27.43 -126,836 181,175
2016-08-09 2016-08-05 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -901 1,286 -41.20 27.43 -24,714 35,275
2016-08-09 2016-08-05 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -674,487 963,517 -41.18 27.43 -18,501,178 26,429,271
2016-08-09 2016-08-05 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -43,518 61,424 -41.47 27.43 -1,193,699 1,684,860
2016-08-09 2016-08-05 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -25,367 35,802 -41.47 27.43 -695,817 982,049
2016-08-09 2016-08-05 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -3,416,529 4,822,187 -41.47 27.43 -93,715,390 132,272,589
2016-08-09 2016-08-05 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -1,587,894 2,241,198 -41.47 27.43 -43,555,932 61,476,061
2016-08-09 2016-08-05 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -15,524,003 20,986,898 -42.52 27.43 -425,823,402 575,670,612
2016-08-09 2016-08-05 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -7,398,893 9,993,752 -42.54 27.43 -202,951,635 274,128,617
2016-08-09 2016-08-05 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -1,135,660 0 -100.00 27.43 -31,151,154
2016-08-09 2016-08-05 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -188,124 0 -100.00 27.43 -5,160,241
2016-08-09 2016-08-05 4 BRX Brixmor Property Group Inc.
Common Stock
C - Conversion 1,135,660 1,135,660
2016-08-09 2016-08-05 4 BRX Brixmor Property Group Inc.
Common Stock
C - Conversion 188,124 188,124
2016-08-09 2016-08-04 4 BRX Brixmor Property Group Inc.
Common Stock
G - Gift -24,875 36,243 -40.70
2016-07-21 2016-07-19 4 SUM Summit Materials, Inc.
LP Units of Summit Materials Holdings L.P.
C - Conversion -9,278 12,501 -42.60
2016-07-21 2016-07-19 4 SUM Summit Materials, Inc.
LP Units of Summit Materials Holdings L.P.
C - Conversion -15,966 21,513 -42.60
2016-07-21 2016-07-19 4 SUM Summit Materials, Inc.
LP Units of Summit Materials Holdings L.P.
C - Conversion -188,427 253,891 -42.60
2016-07-21 2016-07-19 4 SUM Summit Materials, Inc.
LP Units of Summit Materials Holdings L.P.
C - Conversion -2,088,574 2,814,207 -42.60
2016-07-21 2016-07-19 4 SUM Summit Materials, Inc.
LP Units of Summit Materials Holdings L.P.
C - Conversion -9,907,459 13,349,610 -42.60
2016-07-21 2016-07-19 4 SUM Summit Materials, Inc.
Class A Common Stock
S - Sale -9,278 0 -100.00 20.67 -191,776
2016-07-21 2016-07-19 4 SUM Summit Materials, Inc.
Class A Common Stock
C - Conversion 9,278 9,278
2016-07-21 2016-07-19 4 SUM Summit Materials, Inc.
Class A Common Stock
S - Sale -15,966 0 -100.00 20.67 -330,017
2016-07-21 2016-07-19 4 SUM Summit Materials, Inc.
Class A Common Stock
C - Conversion 15,966 15,966
2016-07-21 2016-07-19 4 SUM Summit Materials, Inc.
Class A Common Stock
S - Sale -188,427 0 -100.00 20.67 -3,894,786
2016-07-21 2016-07-19 4 SUM Summit Materials, Inc.
Class A Common Stock
C - Conversion 188,427 188,427
2016-07-21 2016-07-19 4 SUM Summit Materials, Inc.
Class A Common Stock
S - Sale -2,088,574 0 -100.00 20.67 -43,170,825
2016-07-21 2016-07-19 4 SUM Summit Materials, Inc.
Class A Common Stock
C - Conversion 2,088,574 2,088,574
2016-07-21 2016-07-19 4 SUM Summit Materials, Inc.
Class A Common Stock
S - Sale -9,907,459 0 -100.00 20.67 -204,787,178
2016-07-21 2016-07-19 4 SUM Summit Materials, Inc.
Class A Common Stock
C - Conversion 9,907,459 9,907,459
2016-07-21 2016-07-21 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -760,000 1,033,939 -42.36 30.32 -23,043,200 31,349,030
2016-07-21 2016-07-21 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -9,500 12,923 -42.37 30.32 -288,040 391,825
2016-07-21 2016-07-21 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -177,693 13,234 -93.07 30.32 -5,387,652 401,255
2016-07-21 2016-07-21 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -51,945 3,868 -93.07 30.32 -1,574,972 117,278
2016-07-21 2016-07-21 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -9,075 676 -93.07 30.32 -275,154 20,496
2016-07-21 2016-07-21 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -1,457,720 108,563 -93.07 30.32 -44,198,070 3,291,630
2016-07-21 2016-07-21 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -1,795,834 133,743 -93.07 30.32 -54,449,687 4,055,088
2016-07-21 2016-07-21 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -856,572 63,793 -93.07 30.32 -25,971,263 1,934,204
2016-07-21 2016-07-21 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -2,941,221 219,045 -93.07 30.32 -89,177,821 6,641,444
2016-07-21 2016-07-21 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -424,566 30,638 -93.27 30.32 -12,872,841 928,944
2016-07-21 2016-07-21 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -1,036,254 75,642 -93.20 30.32 -31,419,221 2,293,465
2016-07-21 2016-07-21 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -3,789,775 276,637 -93.20 30.32 -114,905,978 8,387,634
2016-07-21 2016-07-21 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -1,475,093 107,674 -93.20 30.32 -44,724,820 3,264,676
2016-07-21 2016-07-21 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -4,214,752 307,659 -93.20 30.32 -127,791,281 9,328,221
2016-07-20 2016-07-18 4 MIK Michaels Companies, Inc.
Common Stock
S - Sale -140,494 1,287,272 -9.84 27.71 -3,893,089 35,670,307
2016-07-20 2016-07-18 4 MIK Michaels Companies, Inc.
Common Stock
S - Sale -185,158 1,696,507 -9.84 27.71 -5,130,728 47,010,209
2016-07-20 2016-07-18 4 MIK Michaels Companies, Inc.
Common Stock
S - Sale -12,624 115,669 -9.84 27.71 -349,811 3,205,188
2016-07-20 2016-07-18 4 MIK Michaels Companies, Inc.
Common Stock
S - Sale -59,475 554,941 -9.68 27.71 -1,648,052 15,377,415
2016-07-20 2016-07-18 4 MIK Michaels Companies, Inc.
Common Stock
S - Sale -949,728 8,701,842 -9.84 27.71 -26,316,963 241,128,042
2016-07-20 2016-07-18 4 MIK Michaels Companies, Inc.
Common Stock
S - Sale -4,152,521 38,047,300 -9.84 27.71 -115,066,357 1,054,290,683
2016-07-08 2016-07-06 4 BRX Brixmor Property Group Inc.
Common Units of Brixmor Operating Partnership LP
C - Conversion -755,710 2,757,972 -21.51
2016-07-08 2016-07-06 4 BRX Brixmor Property Group Inc.
Common Units of Brixmor Operating Partnership LP
C - Conversion -125,185 456,862 -21.51
2016-07-08 2016-07-06 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -3,077 11,229 -21.51 26.01 -80,033 292,066
2016-07-08 2016-07-06 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -599 2,187 -21.50 26.01 -15,580 56,884
2016-07-08 2016-07-06 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -448,828 1,638,004 -21.51 26.01 -11,674,016 42,604,484
2016-07-08 2016-07-06 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -29,169 104,942 -21.75 26.01 -758,686 2,729,541
2016-07-08 2016-07-06 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -17,001 61,169 -21.75 26.01 -442,196 1,591,006
2016-07-08 2016-07-06 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -2,289,929 8,238,716 -21.75 26.01 -59,561,053 214,289,003
2016-07-08 2016-07-06 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -1,064,286 3,829,092 -21.75 26.01 -27,682,079 99,594,683
2016-07-08 2016-07-06 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -10,333,989 36,510,901 -22.06 26.01 -268,787,054 949,648,535
2016-07-08 2016-07-06 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -4,932,227 17,392,645 -22.09 26.01 -128,287,224 452,382,696
2016-07-08 2016-07-06 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -755,710 0 -100.00 26.01 -19,656,017
2016-07-08 2016-07-06 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -125,185 0 -100.00 26.01 -3,256,062
2016-07-08 2016-07-06 4 BRX Brixmor Property Group Inc.
Common Stock
C - Conversion 755,710 755,710
2016-07-08 2016-07-06 4 BRX Brixmor Property Group Inc.
Common Stock
C - Conversion 125,185 125,185
2016-06-13 2016-06-09 4 CTLT Catalent, Inc.
Common Stock
S - Sale -8,785,539 17,100,705 -33.94 24.51 -215,333,561 419,138,280
2016-06-01 2016-05-27 4 PFGC Performance Food Group Co
Common Stock
S - Sale -22,979 611,735 -3.62 23.34 -536,344 14,278,262
2016-06-01 2016-05-27 4 PFGC Performance Food Group Co
Common Stock
S - Sale -3,757 100,023 -3.62 23.34 -87,691 2,334,597
2016-06-01 2016-05-27 4 PFGC Performance Food Group Co
Common Stock
S - Sale -18,666 496,893 -3.62 23.34 -435,676 11,597,781
2016-06-01 2016-05-27 4 PFGC Performance Food Group Co
Common Stock
S - Sale -235,507 6,269,435 -3.62 23.34 -5,496,875 146,332,375
2016-06-01 2016-05-27 4 PFGC Performance Food Group Co
Common Stock
S - Sale -1,470,185 39,137,914 -3.62 23.34 -34,315,000 913,502,396
2016-05-26 2016-05-24 4 PFGC Performance Food Group Co
Common Stock
S - Sale -153,195 634,714 -19.44 23.34 -3,575,663 14,814,606
2016-05-26 2016-05-24 4 PFGC Performance Food Group Co
Common Stock
S - Sale -25,049 103,780 -19.44 23.34 -584,659 2,422,287
2016-05-26 2016-05-24 4 PFGC Performance Food Group Co
Common Stock
S - Sale -124,436 515,559 -19.44 23.34 -2,904,411 12,033,456
2016-05-26 2016-05-24 4 PFGC Performance Food Group Co
Common Stock
S - Sale -1,570,043 6,504,942 -19.44 23.34 -36,645,746 151,829,249
2016-05-26 2016-05-24 4 PFGC Performance Food Group Co
Common Stock
S - Sale -9,801,233 40,608,099 -19.44 23.34 -228,766,659 947,817,396
2016-05-16 2016-05-16 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -400,000 1,793,939 -18.23 29.08 -11,632,000 52,167,746
2016-05-16 2016-05-16 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -5,000 22,423 -18.23 29.08 -145,400 652,061
2016-05-16 2016-05-16 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -93,522 190,927 -32.88 29.08 -2,719,620 5,552,157
2016-05-16 2016-05-16 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -27,339 55,813 -32.88 29.08 -795,018 1,623,042
2016-05-16 2016-05-16 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -4,777 9,751 -32.88 29.08 -138,915 283,559
2016-05-16 2016-05-16 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -767,221 1,566,283 -32.88 29.08 -22,310,787 45,547,510
2016-05-16 2016-05-16 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -945,176 1,929,577 -32.88 29.08 -27,485,718 56,112,099
2016-05-16 2016-05-16 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -450,827 920,365 -32.88 29.08 -13,110,049 26,764,214
2016-05-16 2016-05-16 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -1,548,011 3,160,266 -32.88 29.08 -45,016,160 91,900,535
2016-05-16 2016-05-16 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -223,455 455,204 -32.93 29.08 -6,498,071 13,237,332
2016-05-16 2016-05-16 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -545,397 1,111,896 -32.91 29.08 -15,860,145 32,333,936
2016-05-16 2016-05-16 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -1,994,618 4,066,412 -32.91 29.08 -58,003,491 118,251,261
2016-05-16 2016-05-16 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -776,365 1,582,767 -32.91 29.08 -22,576,694 46,026,864
2016-05-16 2016-05-16 4 HPP Hudson Pacific Properties, Inc.
Common Units
S - Sale -2,218,292 4,522,411 -32.91 29.08 -64,507,931 131,511,712
2016-05-06 2016-05-04 4 BRX Brixmor Property Group Inc.
Common Units of Brixmor Operating Partnership LP
C - Conversion -755,388 3,513,682 -17.69
2016-05-06 2016-05-04 4 BRX Brixmor Property Group Inc.
Common Units of Brixmor Operating Partnership LP
C - Conversion -125,131 582,047 -17.69
2016-05-06 2016-05-04 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -3,075 14,306 -17.69 25.13 -77,275 359,510
2016-05-06 2016-05-04 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -599 2,786 -17.70 25.13 -15,053 70,012
2016-05-06 2016-05-04 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -448,637 2,086,832 -17.69 25.13 -11,274,248 52,442,088
2016-05-06 2016-05-04 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -28,720 134,111 -17.64 25.13 -721,734 3,370,209
2016-05-06 2016-05-04 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -16,741 78,170 -17.64 25.13 -420,701 1,964,412
2016-05-06 2016-05-04 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -2,254,721 10,528,645 -17.64 25.13 -56,661,139 264,584,849
2016-05-06 2016-05-04 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -1,047,922 4,893,378 -17.64 25.13 -26,334,280 122,970,589
2016-05-06 2016-05-04 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -10,386,256 46,844,890 -18.15 25.13 -261,006,613 1,177,212,086
2016-05-06 2016-05-04 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -4,932,810 22,324,872 -18.10 25.13 -123,961,515 561,024,033
2016-05-06 2016-05-04 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -755,388 0 -100.00 25.13 -18,982,900
2016-05-06 2016-05-04 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -125,131 0 -100.00 25.13 -3,144,542
2016-05-06 2016-05-04 4 BRX Brixmor Property Group Inc.
Common Stock
C - Conversion 755,388 755,388
2016-05-06 2016-05-04 4 BRX Brixmor Property Group Inc.
Common Stock
C - Conversion 125,131 125,131
2016-05-06 2015-11-09 4 BRX Brixmor Property Group Inc.
Common Stock
G - Gift -47,108 24,875 -65.44
2016-04-21 2016-04-19 4 SUM Summit Materials, Inc.
LP Units of Summit Materials Holdings L.P.
C - Conversion -7,047 21,779 -24.45
2016-04-21 2016-04-19 4 SUM Summit Materials, Inc.
LP Units of Summit Materials Holdings L.P.
C - Conversion -12,126 37,479 -24.45
2016-04-21 2016-04-19 4 SUM Summit Materials, Inc.
LP Units of Summit Materials Holdings L.P.
C - Conversion -143,097 442,318 -24.44
2016-04-21 2016-04-19 4 SUM Summit Materials, Inc.
LP Units of Summit Materials Holdings L.P.
C - Conversion -1,586,120 4,902,781 -24.44
2016-04-21 2016-04-19 4 SUM Summit Materials, Inc.
LP Units of Summit Materials Holdings L.P.
C - Conversion -7,523,988 23,257,069 -24.44
2016-04-21 2016-04-19 4 SUM Summit Materials, Inc.
Class A Common Stock
S - Sale -7,047 0 -100.00 20.00 -140,940
2016-04-21 2016-04-19 4 SUM Summit Materials, Inc.
Class A Common Stock
C - Conversion 7,047 7,047
2016-04-21 2016-04-19 4 SUM Summit Materials, Inc.
Class A Common Stock
S - Sale -12,126 0 -100.00 20.00 -242,520
2016-04-21 2016-04-19 4 SUM Summit Materials, Inc.
Class A Common Stock
C - Conversion 12,126 12,126
2016-04-21 2016-04-19 4 SUM Summit Materials, Inc.
Class A Common Stock
S - Sale -143,097 0 -100.00 20.00 -2,861,940
2016-04-21 2016-04-19 4 SUM Summit Materials, Inc.
Class A Common Stock
C - Conversion 143,097 143,097
2016-04-21 2016-04-19 4 SUM Summit Materials, Inc.
Class A Common Stock
S - Sale -1,586,120 0 -100.00 20.00 -31,722,400
2016-04-21 2016-04-19 4 SUM Summit Materials, Inc.
Class A Common Stock
C - Conversion 1,586,120 1,586,120
2016-04-21 2016-04-19 4 SUM Summit Materials, Inc.
Class A Common Stock
S - Sale -7,523,988 0 -100.00 20.00 -150,479,760
2016-04-21 2016-04-19 4 SUM Summit Materials, Inc.
Class A Common Stock
C - Conversion 7,523,988 7,523,988
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
18,609,706
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
17,625,348
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
17,625,808
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
19,115,513
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
18,133,335
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
19,625,237
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
21,851,669
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
20,413,384
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
18,609,706
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
17,625,348
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
17,625,808
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
19,115,513
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
18,133,335
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
19,625,237
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
21,851,669
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
20,413,384
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
18,609,706
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
17,625,348
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
17,625,808
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
19,115,513
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
18,133,335
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
19,625,237
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
21,851,669
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
20,413,384
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
18,609,706
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
17,625,348
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
17,625,808
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
19,115,513
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
18,133,335
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
19,625,237
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
21,851,669
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
20,413,384
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
18,609,706
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
17,625,348
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
17,625,808
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
19,115,513
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
18,133,335
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
19,625,237
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
21,851,669
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
20,413,384
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
18,609,706
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
17,625,348
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
17,625,808
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
19,115,513
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
18,133,335
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
19,625,237
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
21,851,669
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
20,413,384
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
18,609,706
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
17,625,348
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
17,625,808
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
19,115,513
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
18,133,335
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
19,625,237
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
21,851,669
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
20,413,384
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
18,609,706
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
17,625,348
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
17,625,808
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
19,115,513
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
18,133,335
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
19,625,237
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
21,851,669
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
20,413,384
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
18,609,706
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
17,625,348
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
17,625,808
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
19,115,513
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
18,133,335
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
19,625,237
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
21,851,669
2016-04-11 3 UAN CVR PARTNERS, LP
Common Units representing Limited Partner Interests
20,413,384
2016-04-05 2016-04-01 4 RTK RENTECH, INC.
Call Right (Obligation to Buy)
E - Other -806,306 0 -100.00
2016-04-05 2016-04-01 4 RTK RENTECH, INC.
Call Right (Obligation to Sell)
E - Other 17,900 0 -100.00
2016-04-05 2016-04-01 4 RTK RENTECH, INC.
Call Right (Obligation to Buy)
E - Other -1,295,106 0 -100.00
2016-04-05 2016-04-01 4 RTK RENTECH, INC.
Call Right (Obligation to Sell)
E - Other 28,751 0 -100.00
2016-04-05 2016-04-01 4 RTK RENTECH, INC.
Call Right (Obligation to Buy)
E - Other -726,204 0 -100.00
2016-04-05 2016-04-01 4 RTK RENTECH, INC.
Call Right (Obligation to Sell)
E - Other 16,122 0 -100.00
2016-04-05 2016-04-01 4 RTK RENTECH, INC.
Call Right (Obligation to Buy)
E - Other -300,300 0 -100.00
2016-04-05 2016-04-01 4 RTK RENTECH, INC.
Call Right (Obligation to Sell)
E - Other 6,667 0 -100.00
2016-04-05 2016-04-01 4 RTK RENTECH, INC.
Call Right (Obligation to Buy)
E - Other -585,202 0 -100.00
2016-04-05 2016-04-01 4 RTK RENTECH, INC.
Call Right (Obligation to Sell)
E - Other 12,991 0 -100.00
2016-04-05 2016-04-01 4 RTK RENTECH, INC.
Call Right (Obligation to Buy)
E - Other -173,113 0 -100.00
2016-04-05 2016-04-01 4 RTK RENTECH, INC.
Call Right (Obligation to Sell)
E - Other 3,843 0 -100.00
2016-04-05 2016-04-01 4 RTK RENTECH, INC.
Call Right (Obligation to Buy)
E - Other -172,986 0 -100.00
2016-04-05 2016-04-01 4 RTK RENTECH, INC.
Call Right (Obligation to Sell)
E - Other 3,840 0 -100.00
2016-04-05 2016-04-01 4 RTK RENTECH, INC.
Call Right (Obligation to Buy)
E - Other -445,283 0 -100.00
2016-04-05 2016-04-01 4 RTK RENTECH, INC.
Call Right (Obligation to Sell)
E - Other 9,885 0 -100.00
2016-04-05 2016-04-01 4 RTK RENTECH, INC.
Series E Convertible Preferred Stock
J - Other -17,900 0 -100.00
2016-04-05 2016-04-01 4 RTK RENTECH, INC.
Series E Convertible Preferred Stock
J - Other -28,751 0 -100.00
2016-04-05 2016-04-01 4 RTK RENTECH, INC.
Series E Convertible Preferred Stock
J - Other -16,122 0 -100.00
2016-04-05 2016-04-01 4 RTK RENTECH, INC.
Series E Convertible Preferred Stock
J - Other -6,667 0 -100.00
2016-04-05 2016-04-01 4 RTK RENTECH, INC.
Series E Convertible Preferred Stock
J - Other -12,991 0 -100.00
2016-04-05 2016-04-01 4 RTK RENTECH, INC.
Series E Convertible Preferred Stock
J - Other -3,843 0 -100.00
2016-04-05 2016-04-01 4 RTK RENTECH, INC.
Series E Convertible Preferred Stock
J - Other -3,840 0 -100.00
2016-04-05 2016-04-01 4 RTK RENTECH, INC.
Series E Convertible Preferred Stock
J - Other -9,885 0 -100.00
2016-03-31 2016-03-29 4 MIK Michaels Companies, Inc.
Common Stock
S - Sale -212,554 1,427,766 -12.96 26.08 -5,543,408 37,236,137
2016-03-31 2016-03-29 4 MIK Michaels Companies, Inc.
Common Stock
S - Sale -280,126 1,881,665 -12.96 26.08 -7,305,686 49,073,823
2016-03-31 2016-03-29 4 MIK Michaels Companies, Inc.
Common Stock
S - Sale -19,099 128,293 -12.96 26.08 -498,102 3,345,881
2016-03-31 2016-03-29 4 MIK Michaels Companies, Inc.
Common Stock
S - Sale -89,980 604,416 -12.96 26.08 -2,346,678 15,763,169
2016-03-31 2016-03-29 4 MIK Michaels Companies, Inc.
Common Stock
S - Sale -1,436,844 9,651,570 -12.96 26.08 -37,472,892 251,712,946
2016-03-31 2016-03-29 4 MIK Michaels Companies, Inc.
Common Stock
S - Sale -6,282,349 42,199,821 -12.96 26.08 -163,843,662 1,100,571,332
2016-03-22 2016-03-18 4 NCR NCR CORP
Common Stock
J - Other -2,996 0 -100.00
2016-02-18 2016-02-18 4 EARN Ellington Residential Mortgage REIT
Common Stock
P - Purchase 2,938 2,689,702 0.11 11.80 34,668 31,738,484
2016-02-18 2016-02-17 4 EARN Ellington Residential Mortgage REIT
Common Stock
P - Purchase 2,527 2,686,764 0.09 11.70 29,566 31,435,139
2016-02-18 2016-02-16 4 EARN Ellington Residential Mortgage REIT
Common Stock
P - Purchase 2,140 2,684,237 0.08 11.44 24,482 30,707,671
2016-02-12 2016-02-10 4 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
S - Sale -1,538,284 0 -100.00 95.91 -147,536,818
2016-02-12 2016-02-10 4 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
S - Sale -12,874 0 -100.00 95.91 -1,234,745
2016-02-12 2016-02-10 4 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
S - Sale -17,370 0 -100.00 95.91 -1,665,957
2016-02-12 2016-02-10 4 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
S - Sale -181,782 0 -100.00 95.91 -17,434,712
2016-02-12 2016-02-10 4 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
S - Sale -1,624,106 0 -100.00 95.91 -155,768,006
2016-02-12 2016-02-10 4 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
S - Sale -549,148 0 -100.00 95.91 -52,668,785
2016-02-12 2016-02-10 4 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
S - Sale -3,428,144 0 -100.00 95.91 -328,793,291
2016-01-05 2016-01-01 4 NCR NCR CORP
Common Stock
J - Other 2,996 2,996
2015-12-09 2015-12-07 4 FSL Freescale Semiconductor, Ltd.
Common Shares
D - Sale to Issuer -94,504,498 0 -100.00
2015-12-01 2015-11-04 4/A KODK EASTMAN KODAK CO
Common Stock
P - Purchase 44,286 285,769 18.34 13.79 610,633 3,940,297
2015-12-01 2015-11-04 4/A KODK EASTMAN KODAK CO
Common Stock
P - Purchase 15,714 272,869 6.11 13.79 216,671 3,762,427
2015-12-01 2015-11-03 4/A KODK EASTMAN KODAK CO
Common Stock
P - Purchase 73,811 241,483 44.02 12.72 939,112 3,072,437
2015-12-01 2015-11-03 4/A KODK EASTMAN KODAK CO
Common Stock
P - Purchase 26,189 257,155 11.34 12.72 333,208 3,271,834
2015-12-01 2015-11-02 4/A KODK EASTMAN KODAK CO
Common Stock
P - Purchase 36,905 167,672 28.22 12.37 456,519 2,074,119
2015-12-01 2015-11-02 4/A KODK EASTMAN KODAK CO
Common Stock
P - Purchase 13,095 230,966 6.01 12.37 161,986 2,857,073
2015-11-20 2015-11-18 4 NONE ESH Hospitality, Inc.
Paired Shares
S - Sale -15,329 129,914 -10.55 16.64 -255,075 2,161,769
2015-11-20 2015-11-18 4 NONE ESH Hospitality, Inc.
Paired Shares
S - Sale -962,389 8,239,971 -10.46 16.64 -16,014,153 137,113,117
2015-11-20 2015-11-18 4 NONE ESH Hospitality, Inc.
Paired Shares
S - Sale -1,273,946 10,796,920 -10.55 16.64 -21,198,461 179,660,749
2015-11-20 2015-11-18 4 NONE ESH Hospitality, Inc.
Paired Shares
S - Sale -592,620 5,022,558 -10.55 16.64 -9,861,197 83,575,365
2015-11-20 2015-11-18 4 NONE ESH Hospitality, Inc.
Paired Shares
S - Sale -6,222 53,273 -10.46 16.64 -103,534 886,463
2015-11-20 2015-11-18 4 NONE ESH Hospitality, Inc.
Paired Shares
S - Sale -308,949 2,641,498 -10.47 16.64 -5,140,911 43,954,527
2015-11-20 2015-11-18 4 NONE ESH Hospitality, Inc.
Paired Shares
S - Sale -926,328 7,920,081 -10.47 16.64 -15,414,098 131,790,148
2015-11-20 2015-11-18 4 NONE ESH Hospitality, Inc.
Paired Shares
S - Sale -914,217 7,816,515 -10.47 16.64 -15,212,571 130,066,810
2015-11-20 2015-11-18 4 STAY Extended Stay America, Inc.
Paired Shares
S - Sale -15,329 129,914 -10.55 16.64 -255,075 2,161,769
2015-11-20 2015-11-18 4 STAY Extended Stay America, Inc.
Paired Shares
S - Sale -962,389 8,239,971 -10.46 16.64 -16,014,153 137,113,117
2015-11-20 2015-11-18 4 STAY Extended Stay America, Inc.
Paired Shares
S - Sale -1,273,946 10,796,920 -10.55 16.64 -21,198,461 179,660,749
2015-11-20 2015-11-18 4 STAY Extended Stay America, Inc.
Paired Shares
S - Sale -592,620 5,022,558 -10.55 16.64 -9,861,197 83,575,365
2015-11-20 2015-11-18 4 STAY Extended Stay America, Inc.
Paired Shares
S - Sale -6,222 53,273 -10.46 16.64 -103,534 886,463
2015-11-20 2015-11-18 4 STAY Extended Stay America, Inc.
Paired Shares
S - Sale -308,949 2,641,498 -10.47 16.64 -5,140,911 43,954,527
2015-11-20 2015-11-18 4 STAY Extended Stay America, Inc.
Paired Shares
S - Sale -926,328 7,920,081 -10.47 16.64 -15,414,098 131,790,148
2015-11-20 2015-11-18 4 STAY Extended Stay America, Inc.
Paired Shares
S - Sale -914,217 7,816,515 -10.47 16.64 -15,212,571 130,066,810
2015-11-12 2015-11-10 4 TVPT Travelport Worldwide LTD
Common Shares
S - Sale -4,900,000 7,604,740 -39.19 14.16 -69,384,000 107,683,118
2015-11-10 2015-11-10 4 EARN Ellington Residential Mortgage REIT
Common Stock
P - Purchase 20,346 2,682,097 0.76 13.16 267,753 35,296,397
2015-11-10 2015-11-09 4 EARN Ellington Residential Mortgage REIT
Common Stock
P - Purchase 56,152 2,661,751 2.16 12.77 717,061 33,990,560
2015-11-10 2015-11-06 4 EARN Ellington Residential Mortgage REIT
Common Stock
P - Purchase 50,000 2,605,599 1.96 12.47 623,500 32,491,820
2015-11-10 2015-11-06 4 BRX Brixmor Property Group Inc.
Common Units of Brixmor Operating Partnership LP
C - Conversion -528,213 4,269,070 -11.01
2015-11-10 2015-11-06 4 BRX Brixmor Property Group Inc.
Common Units of Brixmor Operating Partnership LP
C - Conversion -87,499 707,178 -11.01
2015-11-10 2015-11-06 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -2,150 17,381 -11.01 25.96 -55,814 451,211
2015-11-10 2015-11-06 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -419 3,385 -11.01 25.96 -10,877 87,875
2015-11-10 2015-11-06 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -313,714 2,535,469 -11.01 25.96 -8,144,015 65,820,775
2015-11-10 2015-11-06 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -20,347 162,831 -11.11 25.96 -528,208 4,227,093
2015-11-10 2015-11-06 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -11,859 94,911 -11.11 25.96 -307,860 2,463,890
2015-11-10 2015-11-06 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -1,597,288 12,783,366 -11.11 25.96 -41,465,596 331,856,181
2015-11-10 2015-11-06 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -742,369 5,941,300 -11.11 25.96 -19,271,899 154,236,148
2015-11-10 2015-11-06 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -7,242,740 57,231,146 -11.23 25.96 -188,021,530 1,485,720,550
2015-11-10 2015-11-06 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -3,453,402 27,257,682 -11.24 25.96 -89,650,316 707,609,425
2015-11-10 2015-11-06 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -528,213 0 -100.00 25.96 -13,712,409
2015-11-10 2015-11-06 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -87,499 0 -100.00 25.96 -2,271,474
2015-11-10 2015-11-06 4 BRX Brixmor Property Group Inc.
Common Stock
C - Conversion 528,213 528,213
2015-11-10 2015-11-06 4 BRX Brixmor Property Group Inc.
Common Stock
C - Conversion 87,499 87,499
2015-11-04 2015-11-04 4 KODK EASTMAN KODAK CO
Common Stock
P - Purchase 44,286 284,959 18.40 13.79 610,633 3,929,129
2015-11-04 2015-11-04 4 KODK EASTMAN KODAK CO
Common Stock
P - Purchase 15,714 273,679 6.09 13.79 216,671 3,773,596
2015-11-04 2015-11-03 4 KODK EASTMAN KODAK CO
Common Stock
P - Purchase 73,811 240,673 44.23 12.72 939,112 3,062,131
2015-11-04 2015-11-03 4 KODK EASTMAN KODAK CO
Common Stock
P - Purchase 26,189 257,965 11.30 12.72 333,208 3,282,140
2015-11-04 2015-11-02 4 KODK EASTMAN KODAK CO
Common Stock
P - Purchase 36,095 166,862 27.60 12.37 446,499 2,064,100
2015-11-04 2015-11-02 4 KODK EASTMAN KODAK CO
Common Stock
P - Purchase 13,905 231,776 6.38 12.37 172,006 2,867,092
2015-11-03 2015-10-30 4 KODK EASTMAN KODAK CO
Common Stock
P - Purchase 37,791 130,767 40.65 12.36 467,135 1,616,411
2015-11-03 2015-10-30 4 KODK EASTMAN KODAK CO
Common Stock
P - Purchase 24,997 92,976 36.77 12.41 310,245 1,153,953
2015-11-03 2015-10-30 4 KODK EASTMAN KODAK CO
Common Stock
P - Purchase 67,979 67,979 12.23 831,635 831,635
2015-11-03 2015-10-30 4 KODK EASTMAN KODAK CO
Common Stock
P - Purchase 13,409 217,871 6.56 12.36 165,749 2,693,103
2015-11-03 2015-10-30 4 KODK EASTMAN KODAK CO
Common Stock
P - Purchase 8,870 204,462 4.53 12.41 110,088 2,537,639
2015-11-03 2015-10-30 4 KODK EASTMAN KODAK CO
Common Stock
P - Purchase 24,121 195,592 14.07 12.23 295,089 2,392,814
2015-10-08 2015-10-06 4 PFGC Performance Food Group Co
Common Stock
S - Sale -15,570 0 -100.00 17.96 -279,559
2015-10-08 2015-10-06 4 PFGC Performance Food Group Co
Common Stock
S - Sale -646,997 0 -100.00 17.96 -11,616,831
2015-10-08 2015-10-06 4 PFGC Performance Food Group Co
Common Stock
S - Sale -21,511 787,909 -2.66 17.96 -386,230 14,146,906
2015-10-08 2015-10-06 4 PFGC Performance Food Group Co
Common Stock
S - Sale -3,517 128,829 -2.66 17.96 -63,148 2,313,125
2015-10-08 2015-10-06 4 PFGC Performance Food Group Co
Common Stock
S - Sale -17,472 639,995 -2.66 17.96 -313,710 11,491,110
2015-10-08 2015-10-06 4 PFGC Performance Food Group Co
Common Stock
S - Sale -220,454 8,074,985 -2.66 17.96 -3,958,252 144,986,356
2015-10-08 2015-10-06 4 PFGC Performance Food Group Co
Common Stock
S - Sale -1,376,220 50,409,332 -2.66 17.96 -24,710,030 905,099,556
2015-10-02 2015-09-30 4 PJT PJT Partners Inc.
Common Stock
J - Other -100 0 -100.00
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
114,128,344
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
70,638,231
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
63,000,259
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
62,475,138
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
63,152,212
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
62,989,790
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
62,358,362
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
114,128,344
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
70,638,231
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
63,000,259
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
62,475,138
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
63,152,212
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
62,989,790
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
62,358,362
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
114,128,344
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
70,638,231
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
63,000,259
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
62,475,138
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
63,152,212
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
62,989,790
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
62,358,362
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
114,128,344
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
70,638,231
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
63,000,259
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
62,475,138
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
63,152,212
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
62,989,790
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
62,358,362
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
114,128,344
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
70,638,231
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
63,000,259
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
62,475,138
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
63,152,212
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
62,989,790
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
62,358,362
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
114,128,344
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
70,638,231
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
63,000,259
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
62,475,138
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
63,152,212
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
62,989,790
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
62,358,362
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
114,128,344
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
70,638,231
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
63,000,259
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
62,475,138
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
63,152,212
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
62,989,790
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
62,358,362
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
114,128,344
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
70,638,231
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
63,000,259
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
62,475,138
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
63,152,212
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
62,989,790
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
62,358,362
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
114,128,344
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
70,638,231
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
63,000,259
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
62,475,138
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
63,152,212
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
62,989,790
2015-10-01 3 PFGC Performance Food Group Co
Common Stock
62,358,362
2015-09-09 3 PJT PJT Partners Inc.
Class A Common Stock
200
2015-09-09 3 PJT PJT Partners Inc.
Class A Common Stock
200
2015-09-09 3 PJT PJT Partners Inc.
Class A Common Stock
200
2015-09-09 3 PJT PJT Partners Inc.
Class A Common Stock
200
2015-09-09 3 PJT PJT Partners Inc.
Class A Common Stock
200
2015-08-13 2015-08-11 4 SUM Summit Materials, Inc.
LP Units of Summit Materials Holdings L.P.
S - Sale -12,867 28,826 -30.86
2015-08-13 2015-08-11 4 SUM Summit Materials, Inc.
LP Units of Summit Materials Holdings L.P.
S - Sale -22,143 49,605 -30.86
2015-08-13 2015-08-11 4 SUM Summit Materials, Inc.
LP Units of Summit Materials Holdings L.P.
S - Sale -261,315 585,415 -30.86
2015-08-13 2015-08-11 4 SUM Summit Materials, Inc.
LP Units of Summit Materials Holdings L.P.
S - Sale -2,896,494 6,488,901 -30.86
2015-08-13 2015-08-11 4 SUM Summit Materials, Inc.
LP Units of Summit Materials Holdings L.P.
S - Sale -13,739,945 30,781,057 -30.86
2015-07-15 2015-07-14 4 MIK Michaels Companies, Inc.
Common Stock
S - Sale -156,289 1,640,320 -8.70 26.51 -4,143,221 43,484,883
2015-07-15 2015-07-14 4 MIK Michaels Companies, Inc.
Common Stock
S - Sale -205,975 2,161,791 -8.70 26.51 -5,460,397 57,309,079
2015-07-15 2015-07-14 4 MIK Michaels Companies, Inc.
Common Stock
S - Sale -14,043 147,392 -8.70 26.51 -372,280 3,907,362
2015-07-15 2015-07-14 4 MIK Michaels Companies, Inc.
Common Stock
S - Sale -66,162 694,396 -8.70 26.51 -1,753,955 18,408,438
2015-07-15 2015-07-14 4 MIK Michaels Companies, Inc.
Common Stock
S - Sale -1,022,136 11,088,414 -8.44 26.51 -27,096,825 293,953,855
2015-07-15 2015-07-14 4 MIK Michaels Companies, Inc.
Common Stock
S - Sale -4,653,742 48,482,170 -8.76 26.51 -123,370,700 1,285,262,327
2015-06-26 2015-06-24 4 NONE LVB Acquisition, Inc.
Common Stock
J - Other -27,377,587 0 -100.00
2015-06-26 2015-06-24 4 NONE LVB Acquisition, Inc.
Common Stock
J - Other -229,127 0 -100.00
2015-06-26 2015-06-24 4 NONE LVB Acquisition, Inc.
Common Stock
J - Other -2,171,255 0 -100.00
2015-06-26 2015-06-24 4 NONE LVB Acquisition, Inc.
Common Stock
J - Other -1,373,175 0 -100.00
2015-06-26 2015-06-24 4 NONE LVB Acquisition, Inc.
Common Stock
J - Other -28,905,000 0 -100.00
2015-06-26 2015-06-24 4 NONE LVB Acquisition, Inc.
Common Stock
J - Other -9,773,455 0 -100.00
2015-06-26 2015-06-24 4 NONE LVB Acquisition, Inc.
Common Stock
J - Other -61,012,316 0 -100.00
2015-06-26 2015-06-25 4 ZBH ZIMMER BIOMET HOLDINGS, INC.
Cash-Settled Equity Swap
X - Other -42,594 0 -100.00
2015-06-26 2015-06-24 4 ZBH ZIMMER BIOMET HOLDINGS, INC.
Cash-Settled Equity Swap
X - Other -14,152 42,594 -24.94
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
10,779,857
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
7,900,860
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
8,975,819
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
7,533,495
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
7,369,083
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
7,364,586
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
8,889,997
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
10,779,857
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
7,900,860
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
8,975,819
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
7,533,495
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
7,369,083
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
7,364,586
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
8,889,997
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
10,779,857
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
7,900,860
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
8,975,819
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
7,533,495
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
7,369,083
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
7,364,586
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
8,889,997
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
10,779,857
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
7,900,860
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
8,975,819
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
7,533,495
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
7,369,083
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
7,364,586
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
8,889,997
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
10,779,857
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
7,900,860
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
8,975,819
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
7,533,495
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
7,369,083
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
7,364,586
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
8,889,997
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
10,779,857
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
7,900,860
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
8,975,819
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
7,533,495
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
7,369,083
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
7,364,586
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
8,889,997
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
10,779,857
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
7,900,860
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
8,975,819
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
7,533,495
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
7,369,083
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
7,364,586
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
8,889,997
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
10,779,857
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
7,900,860
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
8,975,819
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
7,533,495
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
7,369,083
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
7,364,586
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
8,889,997
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
10,779,857
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
7,900,860
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
8,975,819
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
7,533,495
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
7,369,083
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
7,364,586
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
8,889,997
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
10,779,857
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
7,900,860
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
8,975,819
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
7,533,495
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
7,369,083
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
7,364,586
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
8,889,997
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
10,779,857
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
7,900,860
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
8,975,819
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
7,533,495
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
7,369,083
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
7,364,586
2015-06-26 3 ZBH ZIMMER BIOMET HOLDINGS, INC.
Common Stock
8,889,997
2015-06-11 2015-06-11 4 CTLT Catalent, Inc.
Common Stock
S - Sale -1,844,963 25,886,244 -6.65 28.13 -51,898,809 728,180,044
2015-06-10 2015-06-08 4 CTLT Catalent, Inc.
Common Stock
S - Sale -12,299,753 27,731,207 -30.73 28.13 -345,992,052 780,078,853
2015-05-18 2015-05-14 4 HLT Hilton Worldwide Holdings Inc.
Common Stock
S - Sale -46,737 235,542 -16.56 29.71 -1,388,556 6,997,953
2015-05-18 2015-05-14 4 HLT Hilton Worldwide Holdings Inc.
Common Stock
S - Sale -7,872,900 39,738,987 -16.54 29.71 -233,903,859 1,180,645,304
2015-05-18 2015-05-14 4 HLT Hilton Worldwide Holdings Inc.
Common Stock
S - Sale -277,327 1,397,649 -16.56 29.71 -8,239,385 41,524,152
2015-05-18 2015-05-14 4 HLT Hilton Worldwide Holdings Inc.
Common Stock
S - Sale -16,318 82,238 -16.56 29.71 -484,808 2,443,291
2015-05-18 2015-05-14 4 HLT Hilton Worldwide Holdings Inc.
Common Stock
S - Sale -2,723,604 13,749,289 -16.53 29.71 -80,918,275 408,491,376
2015-05-18 2015-05-14 4 HLT Hilton Worldwide Holdings Inc.
Common Stock
S - Sale -79,063,114 15,587,545 -83.53 29.71 -2,348,965,117 463,105,962
2015-05-11 2015-05-07 4 FSL Freescale Semiconductor, Ltd.
Warrants
X - Other -9,534,587 0 -100.00
2015-05-11 2015-05-07 4 FSL Freescale Semiconductor, Ltd.
Common Shares
J - Other -8,691,432 196,980,050 -4.23 39.62 -344,354,536 7,804,349,581
2015-05-11 2015-05-07 4 FSL Freescale Semiconductor, Ltd.
Common Shares
X - Other 9,534,587 205,671,482 4.86 36.12 344,389,282 7,428,853,930
2015-04-16 2015-04-14 4 KODK EASTMAN KODAK CO
135% Warrants
P - Purchase 5,884 5,884 6.29 37,010 37,010
2015-04-16 2015-04-14 4 KODK EASTMAN KODAK CO
125% Warrants
P - Purchase 5,884 5,884 5.59 32,892 32,892
2015-04-16 2015-04-14 4 KODK EASTMAN KODAK CO
Common Stock
P - Purchase 171,471 171,471 20.56 3,525,444 3,525,444
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
10,539,878
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
9,296,027
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
10,346,931
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
9,096,787
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
8,819,071
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
9,961,673
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
9,015,209
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
9,441,649
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
9,288,140
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
8,630,431
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
8,649,895
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
8,706,986
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
8,630,624
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
8,971,364
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
10,539,878
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
9,296,027
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
10,346,931
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
9,096,787
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
8,819,071
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
9,961,673
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
9,015,209
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
9,441,649
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
9,288,140
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
8,630,431
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
8,649,895
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
8,706,986
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
8,630,624
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
8,971,364
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
10,539,878
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
9,296,027
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
10,346,931
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
9,096,787
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
8,819,071
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
9,961,673
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
9,015,209
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
9,441,649
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
9,288,140
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
8,630,431
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
8,649,895
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
8,706,986
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
8,630,624
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
8,971,364
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
10,539,878
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
9,296,027
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
10,346,931
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
9,096,787
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
8,819,071
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
9,961,673
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
9,015,209
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
9,441,649
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
9,288,140
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
8,630,431
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
8,649,895
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
8,706,986
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
8,630,624
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
8,971,364
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
10,539,878
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
9,296,027
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
10,346,931
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
9,096,787
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
8,819,071
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
9,961,673
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
9,015,209
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
9,441,649
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
9,288,140
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
8,630,431
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
8,649,895
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
8,706,986
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
8,630,624
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
8,971,364
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
10,539,878
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
9,296,027
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
10,346,931
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
9,096,787
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
8,819,071
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
9,961,673
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
9,015,209
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
9,441,649
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
9,288,140
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
8,630,431
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
8,649,895
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
8,706,986
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
8,630,624
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
8,971,364
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
10,539,878
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
9,296,027
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
10,346,931
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
9,096,787
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
8,819,071
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
9,961,673
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
9,015,209
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
9,441,649
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
9,288,140
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
8,630,431
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
8,649,895
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
8,706,986
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
8,630,624
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
8,971,364
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
10,539,878
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
9,296,027
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
10,346,931
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
9,096,787
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
8,819,071
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
9,961,673
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
9,015,209
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
9,441,649
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
9,288,140
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
8,630,431
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
8,649,895
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
8,706,986
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
8,630,624
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
8,971,364
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
10,539,878
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
9,296,027
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
10,346,931
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
9,096,787
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
8,819,071
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
9,961,673
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
9,015,209
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
9,441,649
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
9,288,140
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
8,630,431
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
8,649,895
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
8,706,986
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
8,630,624
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
8,971,364
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
10,539,878
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
9,296,027
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
10,346,931
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
9,096,787
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
8,819,071
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
9,961,673
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
9,015,209
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
9,441,649
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
9,288,140
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
8,630,431
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
8,649,895
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
8,706,986
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
8,630,624
2015-04-13 3 HPP Hudson Pacific Properties, Inc.
Common Stock
8,971,364
2015-04-08 2015-04-06 4 BRX Brixmor Property Group Inc.
Common Units of Brixmor Operating Partnership LP
C - Conversion -127,111 4,797,283 -2.58
2015-04-08 2015-04-06 4 BRX Brixmor Property Group Inc.
Common Units of Brixmor Operating Partnership LP
C - Conversion -21,056 794,677 -2.58
2015-04-08 2015-04-06 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -518 19,531 -2.58 25.98 -13,460 507,499
2015-04-08 2015-04-06 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -101 3,804 -2.59 25.98 -2,624 98,844
2015-04-08 2015-04-06 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -75,493 2,849,183 -2.58 25.98 -1,961,633 74,034,026
2015-04-08 2015-04-06 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -4,873 183,178 -2.59 25.98 -126,621 4,759,752
2015-04-08 2015-04-06 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -2,841 106,770 -2.59 25.98 -73,821 2,774,344
2015-04-08 2015-04-06 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -382,590 14,380,654 -2.59 25.98 -9,941,333 373,671,228
2015-04-08 2015-04-06 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -177,815 6,683,669 -2.59 25.98 -4,620,398 173,670,460
2015-04-08 2015-04-06 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -1,750,034 64,473,886 -2.64 25.98 -45,473,408 1,675,308,796
2015-04-08 2015-04-06 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -127,111 0 -100.00 25.98 -3,302,890
2015-04-08 2015-04-06 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -21,056 0 -100.00 25.98 -547,125
2015-04-08 2015-04-06 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -832,568 30,711,084 -2.64 25.98 -21,633,697 798,006,020
2015-04-08 2015-04-06 4 BRX Brixmor Property Group Inc.
Common Stock
C - Conversion 127,111 127,111
2015-04-08 2015-04-06 4 BRX Brixmor Property Group Inc.
Common Stock
C - Conversion 21,056 21,056
2015-04-07 2015-04-02 4 LQ La Quinta Holdings Inc.
Common Stock
S - Sale -78,633 888,596 -8.13
2015-04-07 2015-04-02 4 LQ La Quinta Holdings Inc.
Common Stock
S - Sale -15,626 176,582 -8.13
2015-04-07 2015-04-02 4 LQ La Quinta Holdings Inc.
Common Stock
S - Sale -498,730 5,635,931 -8.13
2015-04-07 2015-04-02 4 LQ La Quinta Holdings Inc.
Common Stock
S - Sale -194,120 2,193,670 -8.13
2015-04-07 2015-04-02 4 LQ La Quinta Holdings Inc.
Common Stock
S - Sale -136,369 1,541,053 -8.13
2015-04-07 2015-04-02 4 LQ La Quinta Holdings Inc.
Common Stock
S - Sale -539,029 6,091,344 -8.13
2015-04-07 2015-04-02 4 LQ La Quinta Holdings Inc.
Common Stock
S - Sale -15,780 178,324 -8.13
2015-04-07 2015-04-02 4 LQ La Quinta Holdings Inc.
Common Stock
S - Sale -53,816 608,156 -8.13
2015-04-07 2015-04-02 4 LQ La Quinta Holdings Inc.
Common Stock
S - Sale -46,373 524,036 -8.13
2015-04-07 2015-04-02 4 LQ La Quinta Holdings Inc.
Common Stock
S - Sale -33,759 381,502 -8.13
2015-04-07 2015-04-02 4 LQ La Quinta Holdings Inc.
Common Stock
S - Sale -12,678 143,262 -8.13
2015-04-07 2015-04-02 4 LQ La Quinta Holdings Inc.
Common Stock
S - Sale -31,335 354,094 -8.13
2015-04-07 2015-04-02 4 LQ La Quinta Holdings Inc.
Common Stock
S - Sale -93,169 1,052,872 -8.13
2015-04-07 2015-04-02 4 LQ La Quinta Holdings Inc.
Common Stock
S - Sale -164,977 1,864,344 -8.13
2015-04-07 2015-04-02 4 LQ La Quinta Holdings Inc.
Common Stock
S - Sale -1,198,106 13,539,310 -8.13
2015-04-01 2015-03-30 4 LQ La Quinta Holdings Inc.
Common Stock
S - Sale -524,219 967,229 -35.15
2015-04-01 2015-03-30 4 LQ La Quinta Holdings Inc.
Common Stock
S - Sale -104,173 192,208 -35.15
2015-04-01 2015-03-30 4 LQ La Quinta Holdings Inc.
Common Stock
S - Sale -3,324,860 6,134,661 -35.15
2015-04-01 2015-03-30 4 LQ La Quinta Holdings Inc.
Common Stock
S - Sale -1,294,134 2,387,790 -35.15
2015-04-01 2015-03-30 4 LQ La Quinta Holdings Inc.
Common Stock
S - Sale -909,128 1,677,422 -35.15
2015-04-01 2015-03-30 4 LQ La Quinta Holdings Inc.
Common Stock
S - Sale -3,593,527 6,630,373 -35.15
2015-04-01 2015-03-30 4 LQ La Quinta Holdings Inc.
Common Stock
S - Sale -105,200 194,104 -35.15
2015-04-01 2015-03-30 4 LQ La Quinta Holdings Inc.
Common Stock
S - Sale -358,776 661,972 -35.15
2015-04-01 2015-03-30 4 LQ La Quinta Holdings Inc.
Common Stock
S - Sale -309,150 570,409 -35.15
2015-04-01 2015-03-30 4 LQ La Quinta Holdings Inc.
Common Stock
S - Sale -225,063 415,261 -35.15
2015-04-01 2015-03-30 4 LQ La Quinta Holdings Inc.
Common Stock
S - Sale -84,516 155,940 -35.15
2015-04-01 2015-03-30 4 LQ La Quinta Holdings Inc.
Common Stock
S - Sale -208,894 385,429 -35.15
2015-04-01 2015-03-30 4 LQ La Quinta Holdings Inc.
Common Stock
S - Sale -621,131 1,146,041 -35.15
2015-04-01 2015-03-30 4 LQ La Quinta Holdings Inc.
Common Stock
S - Sale -1,099,851 2,029,321 -35.15
2015-04-01 2015-03-30 4 LQ La Quinta Holdings Inc.
Common Stock
S - Sale -7,987,378 14,737,416 -35.15
2015-03-31 2015-03-27 4 BRX Brixmor Property Group Inc.
Common Units of Brixmor Operating Partnership LP
C - Conversion -847,405 4,924,394 -14.68
2015-03-31 2015-03-27 4 BRX Brixmor Property Group Inc.
Common Units of Brixmor Operating Partnership LP
C - Conversion -140,374 815,733 -14.68
2015-03-31 2015-03-27 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -898 0 -100.00 25.98 -23,334
2015-03-31 2015-03-27 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -2,552 20,049 -11.29 25.98 -66,312 520,959
2015-03-31 2015-03-27 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -174 0 -100.00 25.98 -4,521
2015-03-31 2015-03-27 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -499 3,905 -11.33 25.98 -12,966 101,469
2015-03-31 2015-03-27 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -131,115 0 -100.00 25.98 -3,406,931
2015-03-31 2015-03-27 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -372,172 2,924,676 -11.29 25.98 -9,670,629 75,995,659
2015-03-31 2015-03-27 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -32,769 188,051 -14.84 25.98 -851,480 4,886,374
2015-03-31 2015-03-27 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -19,100 109,611 -14.84 25.98 -496,300 2,848,165
2015-03-31 2015-03-27 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -2,572,607 14,763,244 -14.84 25.98 -66,847,392 383,612,561
2015-03-31 2015-03-27 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -1,195,666 6,861,484 -14.84 25.98 -31,068,544 178,290,859
2015-03-31 2015-03-27 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -11,634,217 66,223,920 -14.94 25.98 -302,306,985 1,720,782,204
2015-03-31 2015-03-27 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -847,405 0 -100.00 25.98 -22,019,226
2015-03-31 2015-03-27 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -140,374 0 -100.00 25.98 -3,647,520
2015-03-31 2015-03-27 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -5,550,452 31,543,652 -14.96 25.98 -144,224,610 819,639,717
2015-03-31 2015-03-27 4 BRX Brixmor Property Group Inc.
Common Stock
C - Conversion 847,405 847,405
2015-03-31 2015-03-27 4 BRX Brixmor Property Group Inc.
Common Stock
C - Conversion 140,374 140,374
2015-03-17 2015-03-13 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -9,409 3,308 -73.99 37.07 -348,792 122,628
2015-03-17 2015-03-13 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -118,716 41,731 -73.99 37.07 -4,400,802 1,546,968
2015-03-17 2015-03-13 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -72,095 25,343 -73.99 37.07 -2,672,562 939,465
2015-03-17 2015-03-13 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -294,969 103,686 -73.99 37.07 -10,934,501 3,843,640
2015-03-17 2015-03-13 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -2,323,352 816,693 -73.99 37.07 -86,126,659 30,274,810
2015-03-17 2015-03-13 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -2,667,062 937,511 -73.99 37.07 -98,867,988 34,753,533
2015-03-17 2015-03-13 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -19,225 6,758 -73.99 37.07 -712,671 250,519
2015-03-17 2015-03-13 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -248,436 87,329 -73.99 37.07 -9,209,523 3,237,286
2015-03-17 2015-03-13 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -51,298 18,032 -73.99 37.07 -1,901,617 668,446
2015-03-17 2015-03-13 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -469,883 165,171 -73.99 37.07 -17,418,563 6,122,889
2015-03-17 2015-03-13 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -7,949,700 2,794,438 -73.99 37.07 -294,695,379 103,589,817
2015-03-12 3 SUM Summit Materials, Inc.
Class B Common Stock
138,014,594
2015-03-12 3 SUM Summit Materials, Inc.
Class B Common Stock
138,014,594
2015-03-12 3 SUM Summit Materials, Inc.
Class B Common Stock
138,014,594
2015-03-12 3 SUM Summit Materials, Inc.
Class B Common Stock
138,014,594
2015-03-12 3 SUM Summit Materials, Inc.
Class B Common Stock
138,014,594
2015-03-12 3 SUM Summit Materials, Inc.
Class B Common Stock
138,014,594
2015-03-11 2015-03-09 4 CTLT Catalent, Inc.
Common Stock
S - Sale -23,982,522 40,553,630 -37.16
2015-02-25 2015-02-12 4 RTK RENTECH, INC.
Put Right (Obligation to Buy)
J - Other 8,063,063 8,063,063
2015-02-25 2015-02-12 4 RTK RENTECH, INC.
Call Right (Obligation to Sell)
J - Other -17,900 17,900 -50.00
2015-02-25 2015-02-12 4 RTK RENTECH, INC.
Put Right (Obligation to Buy)
J - Other 12,951,069 12,951,069
2015-02-25 2015-02-12 4 RTK RENTECH, INC.
Call Right (Obligation to Sell)
J - Other -28,751 28,751 -50.00
2015-02-25 2015-02-12 4 RTK RENTECH, INC.
Call Right (Obligation to Buy)
J - Other 7,262,046 7,262,046
2015-02-25 2015-02-12 4 RTK RENTECH, INC.
Call Right (Obligation to Sell)
J - Other -16,122 16,122 -50.00
2015-02-25 2015-02-12 4 RTK RENTECH, INC.
Call Right (Obligation to Buy)
J - Other 3,003,003 3,003,003
2015-02-25 2015-02-12 4 RTK RENTECH, INC.
Call Right (Obligation to Sell)
J - Other -6,667 6,667 -50.00
2015-02-25 2015-02-12 4 RTK RENTECH, INC.
Call Right (Obligation to Buy)
J - Other 5,852,021 5,852,021
2015-02-25 2015-02-12 4 RTK RENTECH, INC.
Call Right (Obligation to Sell)
J - Other -12,991 12,991 -50.00
2015-02-25 2015-02-12 4 RTK RENTECH, INC.
Call Right (Obligation to Buy)
J - Other 1,731,140 1,731,140
2015-02-25 2015-02-12 4 RTK RENTECH, INC.
Call Right (Obligation to Sell)
J - Other -3,843 3,843 -50.00
2015-02-25 2015-02-12 4 RTK RENTECH, INC.
Call Right(Obligation to Buy)
J - Other 1,729,863 1,729,863
2015-02-25 2015-02-12 4 RTK RENTECH, INC.
Call Right (Obligation to Sell)
J - Other -3,840 3,840 -50.00
2015-02-25 2015-02-12 4 RTK RENTECH, INC.
Call Right(Obligation to Buy)
J - Other 4,452,840 4,452,840
2015-02-25 2015-02-12 4 RTK RENTECH, INC.
Call Right (Obligation to Sell)
J - Other -9,885 9,885 -50.00
2015-02-20 2015-01-29 4 KODK EASTMAN KODAK CO
125% Warrants
J - Other 1,593 16,113 10.97
2015-02-20 2015-01-29 4 KODK EASTMAN KODAK CO
135% Warrants
J - Other 1,593 16,113 10.97
2015-02-20 2015-01-29 4 KODK EASTMAN KODAK CO
125% Warrants
J - Other 1,269 12,841 10.97
2015-02-20 2015-01-29 4 KODK EASTMAN KODAK CO
135% Warrants
J - Other 1,269 12,841 10.97
2015-02-20 2015-01-29 4 KODK EASTMAN KODAK CO
125% Warrants
J - Other 3,843 38,851 10.98
2015-02-20 2015-01-29 4 KODK EASTMAN KODAK CO
135% Warrants
J - Other 3,843 38,851 10.98
2015-02-20 2015-01-29 4 KODK EASTMAN KODAK CO
125% Warrants
J - Other 4,126 41,721 10.97
2015-02-20 2015-01-29 4 KODK EASTMAN KODAK CO
135% Warrants
J - Other 4,126 41,721 10.97
2015-02-20 2015-01-29 4 KODK EASTMAN KODAK CO
Common Stock
J - Other 4,566 1,226,470 0.37
2015-02-20 2015-01-29 4 KODK EASTMAN KODAK CO
Common Stock
J - Other 3,639 986,236 0.37
2015-02-20 2015-01-29 4 KODK EASTMAN KODAK CO
Common Stock
J - Other 11,008 2,958,768 0.37
2015-02-20 2015-01-29 4 KODK EASTMAN KODAK CO
Common Stock
J - Other 11,822 3,145,099 0.38
2015-02-05 2012-05-24 4/A SARA SARATOGA RESOURCES INC /TX
Common Stock
P - Purchase 800,000 4,800,000 20.00 6.25 5,000,000 30,000,000
2015-02-05 3/A SARA SARATOGA RESOURCES INC /TX
Common Stock
2,982,321
2015-02-05 3/A SARA SARATOGA RESOURCES INC /TX
Common Stock
1,017,679
2015-01-28 2015-01-28 4 MIK Michaels Companies, Inc.
Common Stock
S - Sale -284,125 1,796,609 -13.66 22.58 -6,415,542 40,567,431
2015-01-28 2015-01-28 4 MIK Michaels Companies, Inc.
Common Stock
S - Sale -374,450 2,367,766 -13.66 22.58 -8,455,081 53,464,156
2015-01-28 2015-01-28 4 MIK Michaels Companies, Inc.
Common Stock
S - Sale -25,530 161,435 -13.65 22.58 -576,467 3,645,202
2015-01-28 2015-01-28 4 MIK Michaels Companies, Inc.
Common Stock
S - Sale -120,280 760,558 -13.66 22.58 -2,715,922 17,173,400
2015-01-28 2015-01-28 4 MIK Michaels Companies, Inc.
Common Stock
S - Sale -1,955,026 12,110,550 -13.90 22.58 -44,144,487 273,456,219
2015-01-28 2015-01-28 4 MIK Michaels Companies, Inc.
Common Stock
S - Sale -8,363,389 53,135,912 -13.60 22.58 -188,845,324 1,199,808,893
2015-01-22 2015-01-16 4/A BRX Brixmor Property Group Inc.
Common Units of Brixmor Operating Partnership LP
C - Conversion -658,459 5,771,799 -10.24
2015-01-22 2015-01-16 4/A BRX Brixmor Property Group Inc.
Common Units of Brixmor Operating Partnership LP
C - Conversion -109,075 956,107 -10.24
2015-01-22 2015-01-16 4/A BRX Brixmor Property Group Inc.
Common Stock
S - Sale -617 898 -40.73 26.00 -16,042 23,348
2015-01-22 2015-01-16 4/A BRX Brixmor Property Group Inc.
Common Stock
S - Sale -121 174 -41.02 26.00 -3,146 4,524
2015-01-22 2015-01-16 4/A BRX Brixmor Property Group Inc.
Common Stock
S - Sale -89,944 131,115 -40.69 26.00 -2,338,544 3,408,990
2015-01-22 2015-01-16 4/A BRX Brixmor Property Group Inc.
Common Stock
S - Sale -303,590 0 -100.00 26.00 -7,893,340
2015-01-22 2015-01-16 4/A BRX Brixmor Property Group Inc.
Common Stock
S - Sale -25,444 220,820 -10.33 26.00 -661,544 5,741,320
2015-01-22 2015-01-16 4/A BRX Brixmor Property Group Inc.
Common Stock
S - Sale -14,831 128,711 -10.33 26.00 -385,606 3,346,486
2015-01-22 2015-01-16 4/A BRX Brixmor Property Group Inc.
Common Stock
S - Sale -1,997,585 17,335,851 -10.33 26.00 -51,937,210 450,732,126
2015-01-22 2015-01-16 4/A BRX Brixmor Property Group Inc.
Common Stock
S - Sale -928,413 8,057,150 -10.33 26.00 -24,138,738 209,485,900
2015-01-22 2015-01-16 4/A BRX Brixmor Property Group Inc.
Common Stock
S - Sale -9,054,586 77,858,137 -10.42 26.00 -235,419,236 2,024,311,562
2015-01-22 2015-01-16 4/A BRX Brixmor Property Group Inc.
Common Stock
S - Sale -658,459 0 -100.00 26.00 -17,119,934
2015-01-22 2015-01-16 4/A BRX Brixmor Property Group Inc.
Common Stock
S - Sale -109,075 0 -100.00 26.00 -2,835,950
2015-01-22 2015-01-16 4/A BRX Brixmor Property Group Inc.
Common Stock
S - Sale -4,317,335 37,094,104 -10.43 26.00 -112,250,710 964,446,704
2015-01-22 2015-01-16 4/A BRX Brixmor Property Group Inc.
Common Stock
C - Conversion 658,459 658,459
2015-01-22 2015-01-16 4/A BRX Brixmor Property Group Inc.
Common Stock
C - Conversion 109,075 109,075
2015-01-21 2015-01-16 4 BRX Brixmor Property Group Inc.
Common Units of Brixmor Operating Partnership LP
C - Conversion -658,459 5,771,799 -10.24
2015-01-21 2015-01-16 4 BRX Brixmor Property Group Inc.
Common Units of Brixmor Operating Partnership LP
C - Conversion -109,107 956,075 -10.24
2015-01-21 2015-01-16 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -617 898 -40.73 26.00 -16,042 23,348
2015-01-21 2015-01-16 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -121 174 -41.02 26.00 -3,146 4,524
2015-01-21 2015-01-16 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -89,944 131,115 -40.69 26.00 -2,338,544 3,408,990
2015-01-21 2015-01-16 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -303,590 0 -100.00 26.00 -7,893,340
2015-01-21 2015-01-16 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -25,444 220,820 -10.33 26.00 -661,544 5,741,320
2015-01-21 2015-01-16 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -14,831 128,711 -10.33 26.00 -385,606 3,346,486
2015-01-21 2015-01-16 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -1,997,585 17,335,851 -10.33 26.00 -51,937,210 450,732,126
2015-01-21 2015-01-16 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -928,413 8,057,150 -10.33 26.00 -24,138,738 209,485,900
2015-01-21 2015-01-16 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -9,054,586 77,858,137 -10.42 26.00 -235,419,236 2,024,311,562
2015-01-21 2015-01-16 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -658,459 5,771,799 -10.24 26.00 -17,119,934 150,066,774
2015-01-21 2015-01-16 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -109,075 0 -100.00 26.00 -2,835,950
2015-01-21 2015-01-16 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -4,317,335 37,094,104 -10.43 26.00 -112,250,710 964,446,704
2015-01-21 2015-01-16 4 BRX Brixmor Property Group Inc.
Common Stock
C - Conversion 658,459 658,459
2015-01-21 2015-01-16 4 BRX Brixmor Property Group Inc.
Common Stock
C - Conversion 109,075 109,075
2015-01-12 2014-07-01 4 KODK EASTMAN KODAK CO
125% Warrants
J - Other 1,682 14,520 13.10
2015-01-12 2014-07-01 4 KODK EASTMAN KODAK CO
135% Warrants
J - Other 1,682 14,520 13.10
2015-01-12 2014-07-01 4 KODK EASTMAN KODAK CO
125% Warrants
J - Other 1,341 11,572 13.11
2015-01-12 2014-07-01 4 KODK EASTMAN KODAK CO
135% Warrants
J - Other 1,341 11,572 13.11
2015-01-12 2014-07-01 4 KODK EASTMAN KODAK CO
125% Warrants
J - Other 4,057 35,008 13.11
2015-01-12 2014-07-01 4 KODK EASTMAN KODAK CO
135% Warrants
J - Other 4,057 35,008 13.11
2015-01-12 2014-07-01 4 KODK EASTMAN KODAK CO
125% Warrants
J - Other 4,357 37,595 13.11
2015-01-12 2014-07-01 4 KODK EASTMAN KODAK CO
135% Warrants
J - Other 4,357 37,595 13.11
2015-01-12 2014-07-01 4 KODK EASTMAN KODAK CO
Common Stock
J - Other 4,843 1,221,904 0.40
2015-01-12 2014-07-01 4 KODK EASTMAN KODAK CO
Common Stock
J - Other 3,859 982,597 0.39
2015-01-12 2014-07-01 4 KODK EASTMAN KODAK CO
Common Stock
J - Other 11,674 2,947,760 0.40
2015-01-12 2014-07-01 4 KODK EASTMAN KODAK CO
Common Stock
J - Other 12,537 3,133,277 0.40
2014-12-24 2014-12-22 4 NONE ESH Hospitality, Inc.
Paired Shares
J - Other -13,962 9,202,360 -0.15
2014-12-24 2014-12-22 4 NONE ESH Hospitality, Inc.
Paired Shares
J - Other -89 59,495 -0.15
2014-12-24 2014-12-22 4 NONE ESH Hospitality, Inc.
Paired Shares
J - Other -229 2,950,447 -0.01
2014-12-24 2014-12-22 4 NONE ESH Hospitality, Inc.
Paired Shares
J - Other -13,452 8,846,409 -0.15
2014-12-24 2014-12-22 4 NONE ESH Hospitality, Inc.
Paired Shares
J - Other -13,130 8,730,732 -0.15
2014-12-24 2014-12-22 4 STAY Extended Stay America, Inc.
Paired Shares
J - Other -13,962 9,202,360 -0.15
2014-12-24 2014-12-22 4 STAY Extended Stay America, Inc.
Paired Shares
J - Other -89 59,495 -0.15
2014-12-24 2014-12-22 4 STAY Extended Stay America, Inc.
Paired Shares
J - Other -229 2,950,447 -0.01
2014-12-24 2014-12-22 4 STAY Extended Stay America, Inc.
Paired Shares
J - Other -13,452 8,846,409 -0.15
2014-12-24 2014-12-22 4 STAY Extended Stay America, Inc.
Paired Shares
J - Other -13,130 8,730,732 -0.15
2014-12-18 2014-12-16 4 NLSN Nielsen N.V.
Common Stock
S - Sale -172,853 402,447 -30.05 42.88 -7,411,937 17,256,927
2014-12-18 2014-12-16 4 NLSN Nielsen N.V.
Common Stock
S - Sale -39,001 90,804 -30.05 42.88 -1,672,363 3,893,676
2014-12-18 2014-12-16 4 NLSN Nielsen N.V.
Common Stock
S - Sale -193,247 449,929 -30.05 42.88 -8,286,431 19,292,956
2014-12-18 2014-12-16 4 NLSN Nielsen N.V.
Common Stock
S - Sale -2,256,313 5,253,266 -30.05 42.88 -96,750,701 225,260,046
2014-12-18 2014-12-16 4 NLSN Nielsen N.V.
Common Stock
S - Sale -15,787 36,756 -30.05 42.88 -676,947 1,576,097
2014-12-18 2014-12-16 4 NLSN Nielsen N.V.
Common Stock
S - Sale -76,687 178,546 -30.05 42.88 -3,288,339 7,656,052
2014-12-18 2014-12-16 4 NLSN Nielsen N.V.
Common Stock
S - Sale -2,437,079 5,674,135 -30.05 42.88 -104,501,948 243,306,909
2014-12-09 2014-12-05 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -1,984 12,717 -13.50 32.11 -63,706 408,343
2014-12-09 2014-12-05 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -25,038 160,447 -13.50 32.11 -803,970 5,151,953
2014-12-09 2014-12-05 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -15,206 97,438 -13.50 32.11 -488,265 3,128,734
2014-12-09 2014-12-05 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -62,212 398,655 -13.50 32.11 -1,997,627 12,800,812
2014-12-09 2014-12-05 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -490,016 3,140,045 -13.50 32.11 -15,734,414 100,826,845
2014-12-09 2014-12-05 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -562,507 3,604,573 -13.50 32.11 -18,062,100 115,742,839
2014-12-09 2014-12-05 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -4,055 25,983 -13.50 32.11 -130,206 834,314
2014-12-09 2014-12-05 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -52,397 335,765 -13.50 32.11 -1,682,468 10,781,414
2014-12-09 2014-12-05 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -10,819 69,330 -13.50 32.11 -347,398 2,226,186
2014-12-09 2014-12-05 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -99,102 635,054 -13.50 32.11 -3,182,165 20,391,584
2014-12-09 2014-12-05 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -1,676,664 10,744,138 -13.50 32.11 -53,837,681 344,994,271
2014-11-26 2014-11-25 4 LQ La Quinta Holdings Inc.
Common Stock
S - Sale -581,062 1,491,448 -28.04 19.40 -11,272,603 28,934,091
2014-11-26 2014-11-25 4 LQ La Quinta Holdings Inc.
Common Stock
S - Sale -115,469 296,381 -28.04 19.40 -2,240,099 5,749,791
2014-11-26 2014-11-25 4 LQ La Quinta Holdings Inc.
Common Stock
S - Sale -3,685,388 9,459,521 -28.04 19.40 -71,496,527 183,514,707
2014-11-26 2014-11-25 4 LQ La Quinta Holdings Inc.
Common Stock
S - Sale -1,434,461 3,681,924 -28.04 19.40 -27,828,543 71,429,326
2014-11-26 2014-11-25 4 LQ La Quinta Holdings Inc.
Common Stock
S - Sale -1,007,709 2,586,550 -28.04 19.40 -19,549,555 50,179,070
2014-11-26 2014-11-25 4 LQ La Quinta Holdings Inc.
Common Stock
S - Sale -3,983,186 10,223,900 -28.04 19.40 -77,273,808 198,343,660
2014-11-26 2014-11-25 4 LQ La Quinta Holdings Inc.
Common Stock
S - Sale -116,607 299,304 -28.04 19.40 -2,262,176 5,806,498
2014-11-26 2014-11-25 4 LQ La Quinta Holdings Inc.
Common Stock
S - Sale -397,679 1,020,748 -28.04 19.40 -7,714,973 19,802,511
2014-11-26 2014-11-25 4 LQ La Quinta Holdings Inc.
Common Stock
S - Sale -342,673 879,559 -28.04 19.40 -6,647,856 17,063,445
2014-11-26 2014-11-25 4 LQ La Quinta Holdings Inc.
Common Stock
S - Sale -249,468 640,324 -28.04 19.40 -4,839,679 12,422,286
2014-11-26 2014-11-25 4 LQ La Quinta Holdings Inc.
Common Stock
S - Sale -93,680 240,456 -28.04 19.40 -1,817,392 4,664,846
2014-11-26 2014-11-25 4 LQ La Quinta Holdings Inc.
Common Stock
S - Sale -231,546 594,323 -28.04 19.40 -4,491,992 11,529,866
2014-11-26 2014-11-25 4 LQ La Quinta Holdings Inc.
Common Stock
S - Sale -688,482 1,767,172 -28.04 19.40 -13,356,551 34,283,137
2014-11-26 2014-11-25 4 LQ La Quinta Holdings Inc.
Common Stock
S - Sale -1,219,112 3,129,172 -28.04 19.40 -23,650,773 60,705,937
2014-11-26 2014-11-25 4 LQ La Quinta Holdings Inc.
Common Stock
S - Sale -8,853,478 22,724,794 -28.04 19.40 -171,757,473 440,861,004
2014-11-25 2014-11-21 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -661 14,701 -4.30 32.11 -21,225 472,049
2014-11-25 2014-11-21 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -13,014 15,362 -45.86 32.11 -417,880 493,274
2014-11-25 2014-11-21 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -8,346 185,485 -4.31 32.11 -267,990 5,955,923
2014-11-25 2014-11-21 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -164,210 193,831 -45.86 32.11 -5,272,783 6,223,913
2014-11-25 2014-11-21 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -5,069 112,644 -4.31 32.11 -162,766 3,616,999
2014-11-25 2014-11-21 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -99,724 117,713 -45.86 32.11 -3,202,138 3,779,764
2014-11-25 2014-11-21 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -20,737 460,867 -4.31 32.11 -665,865 14,798,439
2014-11-25 2014-11-21 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -408,004 481,604 -45.86 32.11 -13,101,008 15,464,304
2014-11-25 2014-11-21 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -163,338 3,630,061 -4.31 32.11 -5,244,783 116,561,259
2014-11-25 2014-11-21 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -3,213,687 3,793,399 -45.86 32.11 -103,191,490 121,806,042
2014-11-25 2014-11-21 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -187,503 4,167,080 -4.31 32.11 -6,020,721 133,804,939
2014-11-25 2014-11-21 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -3,689,111 4,354,583 -45.86 32.11 -118,457,354 139,825,660
2014-11-25 2014-11-21 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -1,352 30,038 -4.31 32.11 -43,413 964,520
2014-11-25 2014-11-21 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -26,593 31,390 -45.86 32.11 -853,901 1,007,933
2014-11-25 2014-11-21 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -17,466 388,162 -4.31 32.11 -560,833 12,463,882
2014-11-25 2014-11-21 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -343,640 405,628 -45.86 32.11 -11,034,280 13,024,715
2014-11-25 2014-11-21 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -3,606 80,149 -4.31 32.11 -115,789 2,573,584
2014-11-25 2014-11-21 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -70,956 83,755 -45.86 32.11 -2,278,397 2,689,373
2014-11-25 2014-11-21 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -33,034 734,156 -4.31 32.11 -1,060,722 23,573,749
2014-11-25 2014-11-21 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -649,947 767,190 -45.86 32.11 -20,869,798 24,634,471
2014-11-25 2014-11-21 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -558,888 12,420,802 -4.31 32.11 -17,945,894 398,831,952
2014-11-25 2014-11-21 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -10,996,114 12,979,690 -45.86 32.11 -353,085,221 416,777,846
2014-11-18 2014-11-14 4 BRX Brixmor Property Group Inc.
Common Units of Brixmor Operating Partnership LP
C - Conversion -1,079,543 6,430,258 -14.38
2014-11-18 2014-11-14 4 BRX Brixmor Property Group Inc.
Common Units of Brixmor Operating Partnership LP
C - Conversion -178,828 1,065,182 -14.38
2014-11-18 2014-11-14 4 BRX Brixmor Property Group Inc.
Common Stock of BPG Subsidiary Inc.
C - Conversion -49,344,411 0 -100.00
2014-11-18 2014-11-14 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -562,096 387,904 -59.17 23.16 -13,016,064 8,982,421
2014-11-18 2014-11-14 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -17,617 0 -100.00 23.16 -407,945
2014-11-18 2014-11-14 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -18,405 252,152 -6.80 23.16 -426,192 5,838,907
2014-11-18 2014-11-14 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -10,268 0 -100.00 23.16 -237,769
2014-11-18 2014-11-14 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -10,729 146,973 -6.80 23.16 -248,444 3,403,351
2014-11-18 2014-11-14 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -1,383,041 0 -100.00 23.16 -32,026,112
2014-11-18 2014-11-14 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -1,444,943 19,795,689 -6.80 23.16 -33,459,534 458,394,913
2014-11-18 2014-11-14 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -642,793 0 -100.00 23.16 -14,884,708
2014-11-18 2014-11-14 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -671,564 9,200,403 -6.80 23.16 -15,550,937 213,047,292
2014-11-18 2014-11-14 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -8,627,934 88,802,646 -8.86 23.16 -199,791,028 2,056,340,712
2014-11-18 2014-11-14 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -4,344,000 2,000,000 -68.47 23.16 -100,590,967 46,312,600
2014-11-18 2014-11-14 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -4,270 29,887 -12.50 23.16 -98,877 692,072
2014-11-18 2014-11-14 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -938,733 140,810 -86.96 23.16 -21,737,583 3,260,639
2014-11-18 2014-11-14 4 BRX Brixmor Property Group Inc.
Common Stock
C - Conversion 1,079,543 1,079,543
2014-11-18 2014-11-14 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -155,503 23,325 -86.96 23.16 -3,600,874 540,121
2014-11-18 2014-11-14 4 BRX Brixmor Property Group Inc.
Common Stock
C - Conversion 178,828 178,828
2014-11-18 2014-11-14 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -6,168,104 43,176,307 -12.50 23.16 -142,830,467 999,803,518
2014-11-18 2014-11-14 4 BRX Brixmor Property Group Inc.
Common Stock
C - Conversion 49,344,411 49,344,411
2014-11-18 2014-11-17 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -84,314 303,590 -21.74 23.16 -1,952,400 7,030,021
2014-11-18 2014-11-17 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -5,888 246,264 -2.34 23.16 -136,344 5,702,563
2014-11-18 2014-11-17 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -3,431 143,542 -2.33 23.16 -79,449 3,323,902
2014-11-18 2014-11-17 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -462,253 19,333,436 -2.34 23.16 -10,704,069 447,690,844
2014-11-18 2014-11-17 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -214,840 8,985,563 -2.34 23.16 -4,974,899 208,072,392
2014-11-18 2014-11-17 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -1,889,923 86,912,723 -2.13 23.16 -43,763,624 2,012,577,088
2014-11-18 2014-11-17 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -140,810 0 -100.00 23.16 -3,260,639
2014-11-18 2014-11-17 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -23,325 0 -100.00 23.16 -540,121
2014-11-18 2014-11-17 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -925,216 42,251,091 -2.14 23.16 -21,424,579 978,378,939
2014-11-10 2014-11-10 4 HLT Hilton Worldwide Holdings Inc.
Common Stock
S - Sale -8,006 282,279 -2.76 24.50 -196,147 6,915,836
2014-11-10 2014-11-10 4 HLT Hilton Worldwide Holdings Inc.
Common Stock
S - Sale -1,246,888 47,611,887 -2.55 24.50 -30,548,756 1,166,491,232
2014-11-10 2014-11-10 4 HLT Hilton Worldwide Holdings Inc.
Common Stock
S - Sale -47,506 1,674,976 -2.76 24.50 -1,163,897 41,036,912
2014-11-10 2014-11-10 4 HLT Hilton Worldwide Holdings Inc.
Common Stock
S - Sale -2,584 98,556 -2.55 24.50 -63,308 2,414,622
2014-11-10 2014-11-10 4 HLT Hilton Worldwide Holdings Inc.
Common Stock
S - Sale -408,277 16,472,893 -2.42 24.50 -10,002,786 403,585,878
2014-11-10 2014-11-10 4 HLT Hilton Worldwide Holdings Inc.
Common Stock
S - Sale -11,786,739 94,650,659 -11.07 24.50 -288,775,106 2,318,941,146
2014-11-10 2014-11-06 4 HLT Hilton Worldwide Holdings Inc.
Common Stock
S - Sale -46,737 290,285 -13.87 24.50 -1,145,056 7,111,982
2014-11-10 2014-11-06 4 HLT Hilton Worldwide Holdings Inc.
Common Stock
S - Sale -7,872,900 48,858,775 -13.88 24.50 -192,886,050 1,197,039,988
2014-11-10 2014-11-06 4 HLT Hilton Worldwide Holdings Inc.
Common Stock
S - Sale -277,327 1,722,482 -13.87 24.50 -6,794,512 42,200,809
2014-11-10 2014-11-06 4 HLT Hilton Worldwide Holdings Inc.
Common Stock
S - Sale -16,318 101,140 -13.89 24.50 -399,791 2,477,930
2014-11-10 2014-11-06 4 HLT Hilton Worldwide Holdings Inc.
Common Stock
S - Sale -2,723,604 16,881,170 -13.89 24.50 -66,728,298 413,588,665
2014-11-10 2014-11-06 4 HLT Hilton Worldwide Holdings Inc.
Common Stock
S - Sale -79,063,114 106,437,398 -42.62 24.50 -1,937,046,293 2,607,716,251
2014-10-16 2014-10-14 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -1,492 28,377 -5.00 31.90 -47,595 905,226
2014-10-16 2014-10-14 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -18,778 358,041 -4.98 31.90 -599,018 11,421,508
2014-10-16 2014-10-14 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -11,402 217,437 -4.98 31.90 -363,724 6,936,240
2014-10-16 2014-10-14 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -46,657 889,608 -4.98 31.90 -1,488,358 28,378,495
2014-10-16 2014-10-14 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -367,515 7,007,086 -4.98 31.90 -11,723,728 223,526,043
2014-10-16 2014-10-14 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -421,878 8,043,694 -4.98 31.90 -13,457,908 256,593,839
2014-10-16 2014-10-14 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -3,041 57,983 -4.98 31.90 -97,008 1,849,658
2014-10-16 2014-10-14 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -39,298 749,268 -4.98 31.90 -1,253,606 23,901,649
2014-10-16 2014-10-14 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -8,114 154,711 -4.98 31.90 -258,837 4,935,281
2014-10-16 2014-10-14 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -74,327 1,417,137 -4.98 31.90 -2,371,031 45,206,670
2014-10-16 2014-10-14 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -1,257,497 23,975,804 -4.98 31.90 -40,114,154 764,828,148
2014-10-10 2014-10-10 4 KOS Kosmos Energy Ltd.
Common Shares
S - Sale -18,345 270,001 -6.36 9.33 -171,159 2,519,109
2014-10-10 2014-10-10 4 KOS Kosmos Energy Ltd.
Common Shares
S - Sale -135,106 1,988,529 -6.36 9.33 -1,260,539 18,552,976
2014-10-10 2014-10-10 4 KOS Kosmos Energy Ltd.
Common Shares
S - Sale -162,720 2,394,968 -6.36 9.33 -1,518,178 22,345,051
2014-10-10 2014-10-10 4 KOS Kosmos Energy Ltd.
Common Shares
S - Sale -103,240 1,474,644 -6.54 9.33 -963,229 13,758,429
2014-10-10 2014-10-10 4 KOS Kosmos Energy Ltd.
Common Shares
S - Sale -6,330,589 90,424,370 -6.54 9.33 -59,064,395 843,659,372
2014-10-03 2014-10-03 4 HLT Hilton Worldwide Holdings Inc.
Common Stock
J - Other -37,402 56,731,675 -0.07
2014-10-03 2014-10-03 4 HLT Hilton Worldwide Holdings Inc.
Common Stock
J - Other -35,429 0 -100.00
2014-10-03 2014-10-03 4 HLT Hilton Worldwide Holdings Inc.
Common Stock
J - Other -1,024,980 0 -100.00
2014-09-30 3 VSLR Vivint Solar, Inc.
Common Stock
164,718,748
2014-09-30 3 VSLR Vivint Solar, Inc.
Common Stock
164,718,748
2014-09-30 3 VSLR Vivint Solar, Inc.
Common Stock
164,718,748
2014-09-30 3 VSLR Vivint Solar, Inc.
Common Stock
164,718,748
2014-09-30 3 VSLR Vivint Solar, Inc.
Common Stock
164,718,748
2014-09-30 3 VSLR Vivint Solar, Inc.
Common Stock
164,718,748
2014-09-30 3 VSLR Vivint Solar, Inc.
Common Stock
164,718,748
2014-09-30 3 VSLR Vivint Solar, Inc.
Common Stock
164,718,748
2014-09-30 3 VSLR Vivint Solar, Inc.
Common Stock
164,718,748
2014-09-30 3 VSLR Vivint Solar, Inc.
Common Stock
164,718,748
2014-09-30 3 VSLR Vivint Solar, Inc.
Common Stock
164,718,748
2014-09-24 3 TVPT Travelport Worldwide LTD
Common Shares, $0.0025 par value per share
25,009,480
2014-09-24 3 TVPT Travelport Worldwide LTD
Common Shares, $0.0025 par value per share
25,009,480
2014-09-24 3 TVPT Travelport Worldwide LTD
Common Shares, $0.0025 par value per share
25,009,480
2014-09-24 3 TVPT Travelport Worldwide LTD
Common Shares, $0.0025 par value per share
25,009,480
2014-09-24 3 TVPT Travelport Worldwide LTD
Common Shares, $0.0025 par value per share
25,009,480
2014-09-24 3 TVPT Travelport Worldwide LTD
Common Shares, $0.0025 par value per share
25,009,480
2014-09-24 3 TVPT Travelport Worldwide LTD
Common Shares, $0.0025 par value per share
25,009,480
2014-09-24 3 TVPT Travelport Worldwide LTD
Common Shares, $0.0025 par value per share
25,009,480
2014-09-24 3 TVPT Travelport Worldwide LTD
Common Shares, $0.0025 par value per share
25,009,480
2014-09-24 3 TVPT Travelport Worldwide LTD
Common Shares, $0.0025 par value per share
25,009,480
2014-09-16 2014-09-12 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -9,808 29,869 -24.72 31.90 -312,875 952,821
2014-09-16 2014-09-12 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -123,731 376,819 -24.72 31.90 -3,947,019 12,020,526
2014-09-16 2014-09-12 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -75,141 228,839 -24.72 31.90 -2,396,998 7,299,964
2014-09-16 2014-09-12 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -307,428 936,265 -24.72 31.90 -9,806,953 29,866,854
2014-09-16 2014-09-12 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -2,421,496 7,374,601 -24.72 31.90 -77,245,722 235,249,772
2014-09-16 2014-09-12 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -2,779,722 8,465,572 -24.72 31.90 -88,673,132 270,051,747
2014-09-16 2014-09-12 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -20,037 61,024 -24.72 31.90 -639,180 1,946,666
2014-09-16 2014-09-12 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -258,931 788,566 -24.72 31.90 -8,259,899 25,155,255
2014-09-16 2014-09-12 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -53,465 162,825 -24.72 31.90 -1,705,534 5,194,118
2014-09-16 2014-09-12 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -489,731 1,491,464 -24.72 31.90 -15,622,419 47,577,702
2014-09-16 2014-09-12 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -8,285,510 25,233,301 -24.72 31.90 -264,307,769 804,942,302
2014-08-13 2014-08-12 4 STAY Extended Stay America, Inc.
Paired Shares
S - Sale -24,677 145,243 -14.52 21.10 -520,623 3,064,264
2014-08-13 2014-08-12 4 STAY Extended Stay America, Inc.
Paired Shares
S - Sale -1,549,538 9,216,322 -14.39 21.10 -32,691,378 194,441,353
2014-08-13 2014-08-12 4 STAY Extended Stay America, Inc.
Paired Shares
S - Sale -2,050,865 12,070,866 -14.52 21.10 -43,268,124 254,665,095
2014-08-13 2014-08-12 4 STAY Extended Stay America, Inc.
Paired Shares
S - Sale -954,031 5,615,178 -14.52 21.10 -20,127,669 118,466,218
2014-08-13 2014-08-12 4 STAY Extended Stay America, Inc.
Paired Shares
S - Sale -10,019 59,584 -14.39 21.10 -211,376 1,257,073
2014-08-13 2014-08-12 4 STAY Extended Stay America, Inc.
Paired Shares
S - Sale -501,058 2,950,676 -14.52 21.10 -10,571,071 62,251,887
2014-08-13 2014-08-12 4 STAY Extended Stay America, Inc.
Paired Shares
S - Sale -1,489,572 8,859,861 -14.39 21.10 -31,426,245 186,920,917
2014-08-13 2014-08-12 4 STAY Extended Stay America, Inc.
Paired Shares
S - Sale -1,470,240 8,743,862 -14.39 21.10 -31,018,388 184,473,629
2014-08-13 2014-08-12 4 NONE ESH Hospitality, Inc.
Paired Shares
S - Sale -24,677 145,243 -14.52 21.10 -520,623 3,064,264
2014-08-13 2014-08-12 4 NONE ESH Hospitality, Inc.
Paired Shares
S - Sale -1,549,538 9,216,322 -14.39 21.10 -32,691,378 194,441,353
2014-08-13 2014-08-12 4 NONE ESH Hospitality, Inc.
Paired Shares
S - Sale -2,050,865 12,070,866 -14.52 21.10 -43,268,124 254,665,095
2014-08-13 2014-08-12 4 NONE ESH Hospitality, Inc.
Paired Shares
S - Sale -954,031 5,615,178 -14.52 21.10 -20,127,669 118,466,218
2014-08-13 2014-08-12 4 NONE ESH Hospitality, Inc.
Paired Shares
S - Sale -10,019 59,584 -14.39 21.10 -211,376 1,257,073
2014-08-13 2014-08-12 4 NONE ESH Hospitality, Inc.
Paired Shares
S - Sale -501,058 2,950,676 -14.52 21.10 -10,571,071 62,251,887
2014-08-13 2014-08-12 4 NONE ESH Hospitality, Inc.
Paired Shares
S - Sale -1,489,572 8,859,861 -14.39 21.10 -31,426,245 186,920,917
2014-08-13 2014-08-12 4 NONE ESH Hospitality, Inc.
Paired Shares
S - Sale -1,470,240 8,743,862 -14.39 21.10 -31,018,388 184,473,629
2014-07-31 3 CTLT Catalent, Inc.
Common Stock
129,072,304
2014-07-31 3 CTLT Catalent, Inc.
Common Stock
129,072,304
2014-07-31 3 CTLT Catalent, Inc.
Common Stock
129,072,304
2014-07-31 3 CTLT Catalent, Inc.
Common Stock
129,072,304
2014-07-31 3 CTLT Catalent, Inc.
Common Stock
129,072,304
2014-07-31 3 CTLT Catalent, Inc.
Common Stock
129,072,304
2014-07-31 3 CTLT Catalent, Inc.
Common Stock
129,072,304
2014-07-31 3 CTLT Catalent, Inc.
Common Stock
129,072,304
2014-07-31 3 CTLT Catalent, Inc.
Common Stock
129,072,304
2014-07-31 3 CTLT Catalent, Inc.
Common Stock
129,072,304
2014-07-31 3 CTLT Catalent, Inc.
Common Stock
129,072,304
2014-07-17 2014-07-15 4 KOS Kosmos Energy Ltd.
Common Shares
S - Sale -23,910 288,346 -7.66 9.85 -235,514 2,840,208
2014-07-17 2014-07-15 4 KOS Kosmos Energy Ltd.
Common Shares
S - Sale -176,088 2,123,635 -7.66 9.85 -1,734,467 20,917,805
2014-07-17 2014-07-15 4 KOS Kosmos Energy Ltd.
Common Shares
S - Sale -212,078 2,557,688 -7.66 9.85 -2,088,968 25,193,227
2014-07-17 2014-07-15 4 KOS Kosmos Energy Ltd.
Common Shares
S - Sale -134,556 1,577,884 -7.86 9.85 -1,325,377 15,542,157
2014-07-17 2014-07-15 4 KOS Kosmos Energy Ltd.
Common Shares
S - Sale -8,250,868 96,754,959 -7.86 9.85 -81,271,050 953,036,346
2014-07-03 2014-07-01 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -772,827 4,496,722 -14.67 21.77 -16,823,516 97,888,242
2014-07-03 2014-07-01 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -213,801 0 -100.00 21.77 -4,654,191
2014-07-03 2014-07-01 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -1,290,669 0 -100.00 21.77 -28,096,315
2014-07-03 2014-07-01 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -8,480,555 0 -100.00 21.77 -184,611,506
2014-07-03 2014-07-01 4 BRX Brixmor Property Group Inc.
Common Stock
S - Sale -23,684,648 137,809,974 -14.67 21.77 -515,586,365 2,999,957,762
2014-07-03 2014-06-30 4 BRX Brixmor Property Group Inc.
Common Units of Brixmor Operating Partnership LP
C - Conversion -5,483,350 1,244,010 -81.51
2014-07-03 2014-06-30 4 BRX Brixmor Property Group Inc.
Common Units of Brixmor Operating Partnership LP
C - Conversion -1,290,669 7,509,801 -14.67
2014-07-03 2014-06-30 4 BRX Brixmor Property Group Inc.
Common Stock of BPG Subsidiary Inc.
C - Conversion -8,480,555 49,344,411 -14.67
2014-07-03 2014-06-30 4 BRX Brixmor Property Group Inc.
Common Stock
J - Other -5,269,549 213,801 -96.10
2014-07-03 2014-06-30 4 BRX Brixmor Property Group Inc.
Common Stock
C - Conversion 5,483,350 5,483,350
2014-07-03 2014-06-30 4 BRX Brixmor Property Group Inc.
Common Stock
C - Conversion 1,290,669 1,290,669
2014-07-03 2014-06-30 4 BRX Brixmor Property Group Inc.
Common Stock
C - Conversion 8,480,555 8,480,555
2014-07-01 2014-06-30 4 HLT Hilton Worldwide Holdings Inc.
Common Stock
J - Other -59,105,908 569,104,195 -9.41
2014-07-01 2014-06-27 4 HLT Hilton Worldwide Holdings Inc.
Common Stock
S - Sale -3,150,910 19,757,661 -13.75 21.94 -69,123,088 433,433,688
2014-07-01 2014-06-27 4 HLT Hilton Worldwide Holdings Inc.
Common Stock
S - Sale -100,349,090 629,235,083 -13.75 21.94 -2,201,408,162 13,803,844,633
2014-06-26 3 MIK Michaels Companies, Inc.
Common Stock
142,954,931
2014-06-26 3 MIK Michaels Companies, Inc.
Common Stock
95,521,206
2014-06-26 3 MIK Michaels Companies, Inc.
Common Stock
82,336,468
2014-06-26 3 MIK Michaels Companies, Inc.
Common Stock
81,642,595
2014-06-26 3 MIK Michaels Companies, Inc.
Common Stock
84,197,846
2014-06-26 3 MIK Michaels Companies, Inc.
Common Stock
83,536,364
2014-06-26 3 MIK Michaels Companies, Inc.
Common Stock
142,954,931
2014-06-26 3 MIK Michaels Companies, Inc.
Common Stock
95,521,206
2014-06-26 3 MIK Michaels Companies, Inc.
Common Stock
82,336,468
2014-06-26 3 MIK Michaels Companies, Inc.
Common Stock
81,642,595
2014-06-26 3 MIK Michaels Companies, Inc.
Common Stock
84,197,846
2014-06-26 3 MIK Michaels Companies, Inc.
Common Stock
83,536,364
2014-06-26 3 MIK Michaels Companies, Inc.
Common Stock
142,954,931
2014-06-26 3 MIK Michaels Companies, Inc.
Common Stock
95,521,206
2014-06-26 3 MIK Michaels Companies, Inc.
Common Stock
82,336,468
2014-06-26 3 MIK Michaels Companies, Inc.
Common Stock
81,642,595
2014-06-26 3 MIK Michaels Companies, Inc.
Common Stock
84,197,846
2014-06-26 3 MIK Michaels Companies, Inc.
Common Stock
83,536,364
2014-06-26 3 MIK Michaels Companies, Inc.
Common Stock
142,954,931
2014-06-26 3 MIK Michaels Companies, Inc.
Common Stock
95,521,206
2014-06-26 3 MIK Michaels Companies, Inc.
Common Stock
82,336,468
2014-06-26 3 MIK Michaels Companies, Inc.
Common Stock
81,642,595
2014-06-26 3 MIK Michaels Companies, Inc.
Common Stock
84,197,846
2014-06-26 3 MIK Michaels Companies, Inc.
Common Stock
83,536,364
2014-06-26 3 MIK Michaels Companies, Inc.
Common Stock
142,954,931
2014-06-26 3 MIK Michaels Companies, Inc.
Common Stock
95,521,206
2014-06-26 3 MIK Michaels Companies, Inc.
Common Stock
82,336,468
2014-06-26 3 MIK Michaels Companies, Inc.
Common Stock
81,642,595
2014-06-26 3 MIK Michaels Companies, Inc.
Common Stock
84,197,846
2014-06-26 3 MIK Michaels Companies, Inc.
Common Stock
83,536,364
2014-06-26 3 MIK Michaels Companies, Inc.
Common Stock
142,954,931
2014-06-26 3 MIK Michaels Companies, Inc.
Common Stock
95,521,206
2014-06-26 3 MIK Michaels Companies, Inc.
Common Stock
82,336,468
2014-06-26 3 MIK Michaels Companies, Inc.
Common Stock
81,642,595
2014-06-26 3 MIK Michaels Companies, Inc.
Common Stock
84,197,846
2014-06-26 3 MIK Michaels Companies, Inc.
Common Stock
83,536,364
2014-06-26 3 MIK Michaels Companies, Inc.
Common Stock
142,954,931
2014-06-26 3 MIK Michaels Companies, Inc.
Common Stock
95,521,206
2014-06-26 3 MIK Michaels Companies, Inc.
Common Stock
82,336,468
2014-06-26 3 MIK Michaels Companies, Inc.
Common Stock
81,642,595
2014-06-26 3 MIK Michaels Companies, Inc.
Common Stock
84,197,846
2014-06-26 3 MIK Michaels Companies, Inc.
Common Stock
83,536,364
2014-06-26 3 MIK Michaels Companies, Inc.
Common Stock
142,954,931
2014-06-26 3 MIK Michaels Companies, Inc.
Common Stock
95,521,206
2014-06-26 3 MIK Michaels Companies, Inc.
Common Stock
82,336,468
2014-06-26 3 MIK Michaels Companies, Inc.
Common Stock
81,642,595
2014-06-26 3 MIK Michaels Companies, Inc.
Common Stock
84,197,846
2014-06-26 3 MIK Michaels Companies, Inc.
Common Stock
83,536,364
2014-06-26 3 MIK Michaels Companies, Inc.
Common Stock
142,954,931
2014-06-26 3 MIK Michaels Companies, Inc.
Common Stock
95,521,206
2014-06-26 3 MIK Michaels Companies, Inc.
Common Stock
82,336,468
2014-06-26 3 MIK Michaels Companies, Inc.
Common Stock
81,642,595
2014-06-26 3 MIK Michaels Companies, Inc.
Common Stock
84,197,846
2014-06-26 3 MIK Michaels Companies, Inc.
Common Stock
83,536,364
2014-06-26 3 MIK Michaels Companies, Inc.
Common Stock
142,954,931
2014-06-26 3 MIK Michaels Companies, Inc.
Common Stock
95,521,206
2014-06-26 3 MIK Michaels Companies, Inc.
Common Stock
82,336,468
2014-06-26 3 MIK Michaels Companies, Inc.
Common Stock
81,642,595
2014-06-26 3 MIK Michaels Companies, Inc.
Common Stock
84,197,846
2014-06-26 3 MIK Michaels Companies, Inc.
Common Stock
83,536,364
2014-06-18 2014-06-17 4 PBF PBF Energy Inc.
Series A Units of PBF Energy
C - Conversion -31,865 6,735 -82.55
2014-06-18 2014-06-17 4 PBF PBF Energy Inc.
Series A Units of PBF Energy
C - Conversion -263,373 55,669 -82.55
2014-06-18 2014-06-17 4 PBF PBF Energy Inc.
Series A Units of PBF Energy
C - Conversion -69,353 14,659 -82.55
2014-06-18 2014-06-17 4 PBF PBF Energy Inc.
Series A Units of PBF Energy
C - Conversion -2,253,028 476,222 -82.55
2014-06-18 2014-06-17 4 PBF PBF Energy Inc.
Series A Units of PBF Energy
C - Conversion -12,573,720 2,657,702 -82.55
2014-06-18 2014-06-17 4 PBF PBF Energy Inc.
Class A Common Stock
S - Sale -31,865 0 -100.00 29.75 -947,995
2014-06-18 2014-06-17 4 PBF PBF Energy Inc.
Class A Common Stock
C - Conversion 31,865 31,865
2014-06-18 2014-06-17 4 PBF PBF Energy Inc.
Class A Common Stock
S - Sale -263,373 0 -100.00 29.75 -7,835,335
2014-06-18 2014-06-17 4 PBF PBF Energy Inc.
Class A Common Stock
C - Conversion 263,373 263,373
2014-06-18 2014-06-17 4 PBF PBF Energy Inc.
Class A Common Stock
S - Sale -69,353 0 -100.00 29.75 -2,063,250
2014-06-18 2014-06-17 4 PBF PBF Energy Inc.
Class A Common Stock
C - Conversion 69,353 69,353
2014-06-18 2014-06-17 4 PBF PBF Energy Inc.
Class A Common Stock
S - Sale -2,253,028 0 -100.00 29.75 -67,027,581
2014-06-18 2014-06-17 4 PBF PBF Energy Inc.
Class A Common Stock
C - Conversion 2,253,028 2,253,028
2014-06-18 2014-06-17 4 PBF PBF Energy Inc.
Class A Common Stock
S - Sale -12,573,720 0 -100.00 29.75 -374,068,174
2014-06-18 2014-06-17 4 PBF PBF Energy Inc.
Class A Common Stock
C - Conversion 12,573,720 12,573,720
2014-06-10 2014-06-06 4 NLSN Nielsen N.V.
Common Stock
S - Sale -173,543 575,300 -23.17 47.08 -8,170,404 27,085,124
2014-06-10 2014-06-06 4 NLSN Nielsen N.V.
Common Stock
S - Sale -39,157 129,805 -23.18 47.08 -1,843,512 6,111,219
2014-06-10 2014-06-06 4 NLSN Nielsen N.V.
Common Stock
S - Sale -194,018 643,176 -23.17 47.08 -9,134,367 30,280,726
2014-06-10 2014-06-06 4 NLSN Nielsen N.V.
Common Stock
S - Sale -2,265,316 7,509,579 -23.17 47.08 -106,651,077 353,550,979
2014-06-10 2014-06-06 4 NLSN Nielsen N.V.
Common Stock
S - Sale -15,850 52,543 -23.17 47.08 -746,218 2,473,724
2014-06-10 2014-06-06 4 NLSN Nielsen N.V.
Common Stock
S - Sale -76,993 255,233 -23.17 47.08 -3,624,830 12,016,370
2014-06-10 2014-06-06 4 NLSN Nielsen N.V.
Common Stock
S - Sale -2,446,804 8,111,214 -23.17 47.08 -115,195,532 381,875,955
2014-04-14 3 NONE FS Investment Corp III
Common Stock
1,111,112
2014-04-14 3 NONE FS Investment Corp III
Common Stock
1,111,112
2014-04-14 3 NONE FS Investment Corp III
Common Stock
1,111,112
2014-04-14 3 NONE FS Investment Corp III
Common Stock
1,111,112
2014-04-14 3 NONE FS Investment Corp III
Common Stock
1,111,112
2014-04-14 3 NONE FS Investment Corp III
Common Stock
1,111,112
2014-04-14 3 NONE FS Investment Corp III
Common Stock
1,111,112
2014-04-14 3 NONE FS Investment Corp III
Common Stock
1,111,112
2014-04-14 3 NONE FS Investment Corp III
Common Stock
1,111,112
2014-04-14 3 NONE FS Investment Corp III
Common Stock
1,111,112
2014-04-14 3 NONE FS Investment Corp III
Common Stock
1,111,112
2014-04-11 2014-04-01 4/A N/A Blackstone Real Estate Income Fund II
Institutional Class II Common Shares of Beneficial Interest
P - Purchase 12,500 12,550 25,000.00 1,000.00 12,500,000 12,550,000
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
113,613,848
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
86,383,860
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
84,491,230
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
82,861,445
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
82,369,712
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
82,925,368
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
83,257,808
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
83,454,003
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
82,451,487
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
96,242,662
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
85,629,835
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
87,151,961
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
95,180,485
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
82,447,426
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
84,108,086
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
113,613,848
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
86,383,860
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
84,491,230
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
82,861,445
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
82,369,712
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
82,925,368
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
83,257,808
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
83,454,003
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
82,451,487
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
96,242,662
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
85,629,835
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
87,151,961
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
95,180,485
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
82,447,426
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
84,108,086
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
113,613,848
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
86,383,860
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
84,491,230
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
82,861,445
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
82,369,712
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
82,925,368
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
83,257,808
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
83,454,003
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
82,451,487
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
96,242,662
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
85,629,835
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
87,151,961
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
95,180,485
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
82,447,426
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
84,108,086
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
113,613,848
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
86,383,860
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
84,491,230
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
82,861,445
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
82,369,712
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
82,925,368
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
83,257,808
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
83,454,003
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
82,451,487
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
96,242,662
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
85,629,835
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
87,151,961
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
95,180,485
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
82,447,426
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
84,108,086
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
113,613,848
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
86,383,860
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
84,491,230
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
82,861,445
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
82,369,712
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
82,925,368
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
83,257,808
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
83,454,003
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
82,451,487
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
96,242,662
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
85,629,835
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
87,151,961
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
95,180,485
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
82,447,426
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
84,108,086
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
113,613,848
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
86,383,860
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
84,491,230
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
82,861,445
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
82,369,712
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
82,925,368
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
83,257,808
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
83,454,003
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
82,451,487
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
96,242,662
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
85,629,835
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
87,151,961
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
95,180,485
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
82,447,426
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
84,108,086
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
113,613,848
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
86,383,860
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
84,491,230
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
82,861,445
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
82,369,712
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
82,925,368
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
83,257,808
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
83,454,003
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
82,451,487
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
96,242,662
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
85,629,835
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
87,151,961
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
95,180,485
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
82,447,426
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
84,108,086
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
113,613,848
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
86,383,860
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
84,491,230
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
82,861,445
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
82,369,712
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
82,925,368
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
83,257,808
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
83,454,003
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
82,451,487
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
96,242,662
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
85,629,835
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
87,151,961
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
95,180,485
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
82,447,426
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
84,108,086
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
113,613,848
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
86,383,860
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
84,491,230
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
82,861,445
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
82,369,712
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
82,925,368
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
83,257,808
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
83,454,003
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
82,451,487
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
96,242,662
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
85,629,835
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
87,151,961
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
95,180,485
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
82,447,426
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
84,108,086
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
113,613,848
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
86,383,860
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
84,491,230
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
82,861,445
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
82,369,712
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
82,925,368
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
83,257,808
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
83,454,003
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
82,451,487
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
96,242,662
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
85,629,835
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
87,151,961
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
95,180,485
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
82,447,426
2014-04-09 3 LQ La Quinta Holdings Inc.
Common Stock
84,108,086
2014-04-09 2014-04-09 4 SEAS SeaWorld Entertainment, Inc.
Common Stock
S - Sale -21,426 247,882 -7.96 28.88 -618,676 7,157,593
2014-04-09 2014-04-09 4 SEAS SeaWorld Entertainment, Inc.
Common Stock
S - Sale -64,279 743,645 -7.96 28.88 -1,856,056 21,472,749
2014-04-09 2014-04-09 4 SEAS SeaWorld Entertainment, Inc.
Common Stock
S - Sale -58,696 679,058 -7.96 28.88 -1,694,847 19,607,800
2014-04-09 2014-04-09 4 SEAS SeaWorld Entertainment, Inc.
Common Stock
S - Sale -38,539 445,853 -7.96 28.88 -1,112,814 12,874,005
2014-04-09 2014-04-09 4 SEAS SeaWorld Entertainment, Inc.
Common Stock
S - Sale -49,312 570,487 -7.96 28.88 -1,423,884 16,472,812
2014-04-09 2014-04-09 4 SEAS SeaWorld Entertainment, Inc.
Common Stock
S - Sale -15,735 182,040 -7.96 28.88 -454,348 5,256,405
2014-04-09 2014-04-09 4 SEAS SeaWorld Entertainment, Inc.
Common Stock
S - Sale -43,799 506,711 -7.96 28.88 -1,264,696 14,631,280
2014-04-09 2014-04-09 4 SEAS SeaWorld Entertainment, Inc.
Common Stock
S - Sale -48,007 555,394 -7.96 28.88 -1,386,202 16,037,002
2014-04-09 2014-04-09 4 SEAS SeaWorld Entertainment, Inc.
Common Stock
S - Sale -42,685 493,827 -7.96 28.88 -1,232,529 14,259,255
2014-04-09 2014-04-09 4 SEAS SeaWorld Entertainment, Inc.
Common Stock
S - Sale -1,367,522 15,820,811 -7.96 28.88 -39,487,198 456,825,918
2014-04-09 2014-04-09 4 SEAS SeaWorld Entertainment, Inc.
Common Stock
S - Sale -211,203 269,308 -43.95 28.88 -6,098,487 7,776,268
2014-04-09 2014-04-09 4 SEAS SeaWorld Entertainment, Inc.
Common Stock
S - Sale -633,610 807,924 -43.95 28.88 -18,295,489 23,328,806
2014-04-09 2014-04-09 4 SEAS SeaWorld Entertainment, Inc.
Common Stock
S - Sale -578,579 737,754 -43.95 28.88 -16,706,469 21,302,647
2014-04-09 2014-04-09 4 SEAS SeaWorld Entertainment, Inc.
Common Stock
S - Sale -379,882 484,392 -43.95 28.88 -10,969,093 13,986,819
2014-04-09 2014-04-09 4 SEAS SeaWorld Entertainment, Inc.
Common Stock
S - Sale -486,074 619,799 -43.95 28.88 -14,035,387 17,896,696
2014-04-09 2014-04-09 4 SEAS SeaWorld Entertainment, Inc.
Common Stock
S - Sale -155,104 197,775 -43.95 28.88 -4,478,628 5,710,753
2014-04-09 2014-04-09 4 SEAS SeaWorld Entertainment, Inc.
Common Stock
S - Sale -431,734 550,510 -43.95 28.88 -12,466,319 15,895,976
2014-04-09 2014-04-09 4 SEAS SeaWorld Entertainment, Inc.
Common Stock
S - Sale -473,213 603,401 -43.95 28.88 -13,664,025 17,423,204
2014-04-09 2014-04-09 4 SEAS SeaWorld Entertainment, Inc.
Common Stock
S - Sale -420,756 536,512 -43.95 28.88 -12,149,330 15,491,784
2014-04-09 2014-04-09 4 SEAS SeaWorld Entertainment, Inc.
Common Stock
S - Sale -13,479,845 17,188,333 -43.95 28.88 -389,230,524 496,313,115
2014-04-03 2014-04-01 4 N/A Blackstone Real Estate Income Fund
Common Shares of Beneficial Interest
P - Purchase 12,500 12,600 12,500.00 1,000.00 12,500,000 12,600,000
2014-04-03 2014-04-01 4 N/A Blackstone Real Estate Income Fund II
Institutional Class II Common Shares of Beneficial Interest
P - Purchase 12,500 12,550 25,000.00 1,000.00 12,500,000 12,550,000
2014-03-18 2014-03-07 4 XTXI CROSSTEX ENERGY INC
Common Stock, Par Value $0.01 Per Share
J - Other -1,878,520 0 -100.00
2014-03-18 2014-03-07 4 XTXI CROSSTEX ENERGY INC
Common Stock, Par Value $0.01 Per Share
J - Other -5,121,480 0 -100.00
2014-03-12 2014-03-10 4 NLSN Nielsen Holdings N.V.
Common Stock
S - Sale -203,284 748,843 -21.35 46.25 -9,401,885 34,633,989
2014-03-12 2014-03-10 4 NLSN Nielsen Holdings N.V.
Common Stock
S - Sale -45,867 168,962 -21.35 46.25 -2,121,349 7,814,492
2014-03-12 2014-03-10 4 NLSN Nielsen Holdings N.V.
Common Stock
S - Sale -227,268 837,194 -21.35 46.25 -10,511,145 38,720,222
2014-03-12 2014-03-10 4 NLSN Nielsen Holdings N.V.
Common Stock
S - Sale -2,653,535 9,774,895 -21.35 46.25 -122,725,994 452,088,894
2014-03-12 2014-03-10 4 NLSN Nielsen Holdings N.V.
Common Stock
S - Sale -18,566 68,393 -21.35 46.25 -858,678 3,163,176
2014-03-12 2014-03-10 4 NLSN Nielsen Holdings N.V.
Common Stock
S - Sale -90,187 332,226 -21.35 46.25 -4,171,149 15,365,452
2014-03-12 2014-03-10 4 NLSN Nielsen Holdings N.V.
Common Stock
S - Sale -2,866,125 10,558,018 -21.35 46.25 -132,558,281 488,308,332
2014-03-03 2014-02-27 4 XTEX CROSSTEX ENERGY LP
Series A Convertible Preferred Units
C - Conversion -17,095,133 17,095,133 -50.00
2014-03-03 2014-02-27 4 XTEX CROSSTEX ENERGY LP
Common Units
C - Conversion 17,095,133 17,095,133
2014-02-03 2014-01-31 4 XTEX CROSSTEX ENERGY LP
Series A Convertible Preferred Units
J - Other 452,185 17,095,132 2.72
2014-01-29 2014-01-27 4 CROX Crocs, Inc.
Common Stock
J - Other 2,479 2,479
2014-01-24 3 N/A Blackstone Real Estate Income Fund II
Common Shares of Beneficial Interest
100
2014-01-24 3 N/A Blackstone Real Estate Income Fund
Common Shares of Beneficial Interest
100
2014-01-14 2014-01-10 4 PBF PBF Energy Inc.
Series A Units of PBF Energy
C - Conversion -15,732 38,601 -28.95
2014-01-14 2014-01-10 4 PBF PBF Energy Inc.
Series A Units of PBF Energy
C - Conversion -130,028 319,042 -28.95
2014-01-14 2014-01-10 4 PBF PBF Energy Inc.
Series A Units of PBF Energy
C - Conversion -34,240 84,012 -28.95
2014-01-14 2014-01-10 4 PBF PBF Energy Inc.
Series A Units of PBF Energy
C - Conversion -1,112,325 2,729,250 -28.95
2014-01-14 2014-01-10 4 PBF PBF Energy Inc.
Series A Units of PBF Energy
C - Conversion -6,207,675 15,231,423 -28.95
2014-01-14 2014-01-10 4 PBF PBF Energy Inc.
Class A Common Stock
S - Sale -15,732 0 -100.00 27.25 -428,698
2014-01-14 2014-01-10 4 PBF PBF Energy Inc.
Class A Common Stock
C - Conversion 15,732 15,732
2014-01-14 2014-01-10 4 PBF PBF Energy Inc.
Class A Common Stock
S - Sale -130,028 0 -100.00 27.25 -3,543,254
2014-01-14 2014-01-10 4 PBF PBF Energy Inc.
Class A Common Stock
C - Conversion 130,028 130,028
2014-01-14 2014-01-10 4 PBF PBF Energy Inc.
Class A Common Stock
S - Sale -34,240 0 -100.00 27.25 -933,032
2014-01-14 2014-01-10 4 PBF PBF Energy Inc.
Class A Common Stock
C - Conversion 34,240 34,240
2014-01-14 2014-01-10 4 PBF PBF Energy Inc.
Class A Common Stock
S - Sale -1,112,325 0 -100.00 27.25 -30,310,862
2014-01-14 2014-01-10 4 PBF PBF Energy Inc.
Class A Common Stock
C - Conversion 1,112,325 1,112,325
2014-01-14 2014-01-10 4 PBF PBF Energy Inc.
Class A Common Stock
S - Sale -6,207,675 0 -100.00 27.25 -169,159,154
2014-01-14 2014-01-10 4 PBF PBF Energy Inc.
Class A Common Stock
C - Conversion 6,207,675 6,207,675
2013-12-26 2013-12-26 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -1,688 39,677 -4.08 25.75 -43,461 1,021,560
2013-12-26 2013-12-26 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -21,282 500,550 -4.08 25.75 -547,946 12,887,611
2013-12-26 2013-12-26 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -12,926 303,980 -4.08 25.75 -332,804 7,826,543
2013-12-26 2013-12-26 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -52,879 1,243,693 -4.08 25.75 -1,361,470 32,021,239
2013-12-26 2013-12-26 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -416,514 9,796,097 -4.08 25.75 -10,723,944 252,219,130
2013-12-26 2013-12-26 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -478,130 11,245,294 -4.08 25.75 -12,310,365 289,531,460
2013-12-26 2013-12-26 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -3,445 81,061 -4.08 25.75 -88,698 2,087,069
2013-12-26 2013-12-26 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -44,538 1,047,497 -4.08 25.75 -1,146,715 26,969,801
2013-12-26 2013-12-26 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -9,195 216,290 -4.08 25.75 -236,743 5,568,797
2013-12-26 2013-12-26 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -84,237 1,981,195 -4.08 25.75 -2,168,842 51,009,630
2013-12-26 2013-12-26 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -1,425,166 33,518,811 -4.08 25.75 -36,693,606 863,005,475
2013-12-23 3 NONE FS Global Credit Opportunities Fund-A
Common Shares
1,000,000
2013-12-23 3 XTEX CROSSTEX ENERGY LP
Common Units
829,528
2013-12-23 3 XTEX CROSSTEX ENERGY LP
Common Units
72,634
2013-12-18 2013-12-17 4 HLT Hilton Worldwide Holdings Inc.
Common Stock
S - Sale -5,193,203 0 -100.00 19.28 -100,098,988
2013-12-17 2013-12-17 4 SEAS SeaWorld Entertainment, Inc.
Common Stock
S - Sale -18,366 480,511 -3.68 28.88 -530,318 13,874,755
2013-12-17 2013-12-17 4 SEAS SeaWorld Entertainment, Inc.
Common Stock
S - Sale -55,096 1,441,534 -3.68 28.88 -1,590,897 41,624,294
2013-12-17 2013-12-17 4 SEAS SeaWorld Entertainment, Inc.
Common Stock
S - Sale -50,311 1,316,333 -3.68 28.88 -1,452,730 38,009,115
2013-12-17 2013-12-17 4 SEAS SeaWorld Entertainment, Inc.
Common Stock
S - Sale -33,033 864,274 -3.68 28.88 -953,828 24,955,912
2013-12-17 2013-12-17 4 SEAS SeaWorld Entertainment, Inc.
Common Stock
S - Sale -42,267 1,105,873 -3.68 28.88 -1,220,460 31,932,083
2013-12-17 2013-12-17 4 SEAS SeaWorld Entertainment, Inc.
Common Stock
S - Sale -13,487 352,879 -3.68 28.88 -389,437 10,189,381
2013-12-17 2013-12-17 4 SEAS SeaWorld Entertainment, Inc.
Common Stock
S - Sale -37,542 982,244 -3.68 28.88 -1,084,025 28,362,296
2013-12-17 2013-12-17 4 SEAS SeaWorld Entertainment, Inc.
Common Stock
S - Sale -41,149 1,076,614 -3.68 28.88 -1,188,177 31,087,229
2013-12-17 2013-12-17 4 SEAS SeaWorld Entertainment, Inc.
Common Stock
S - Sale -36,587 957,268 -3.68 28.88 -1,056,450 27,641,114
2013-12-17 2013-12-17 4 SEAS SeaWorld Entertainment, Inc.
Common Stock
S - Sale -1,172,162 30,668,178 -3.68 28.88 -33,846,178 885,543,640
2013-12-17 2013-12-17 4 SEAS SeaWorld Entertainment, Inc.
Common Stock
S - Sale -220,386 498,877 -30.64 28.88 -6,363,646 14,405,073
2013-12-17 2013-12-17 4 SEAS SeaWorld Entertainment, Inc.
Common Stock
S - Sale -661,158 1,496,630 -30.64 28.88 -19,090,937 43,215,191
2013-12-17 2013-12-17 4 SEAS SeaWorld Entertainment, Inc.
Common Stock
S - Sale -603,734 1,366,644 -30.64 28.88 -17,432,819 39,461,846
2013-12-17 2013-12-17 4 SEAS SeaWorld Entertainment, Inc.
Common Stock
S - Sale -396,398 897,307 -30.64 28.88 -11,445,992 25,909,740
2013-12-17 2013-12-17 4 SEAS SeaWorld Entertainment, Inc.
Common Stock
S - Sale -507,207 1,148,140 -30.64 28.88 -14,645,602 33,152,542
2013-12-17 2013-12-17 4 SEAS SeaWorld Entertainment, Inc.
Common Stock
S - Sale -161,847 366,366 -30.64 28.88 -4,673,332 10,578,818
2013-12-17 2013-12-17 4 SEAS SeaWorld Entertainment, Inc.
Common Stock
S - Sale -450,505 1,019,786 -30.64 28.88 -13,008,332 29,446,321
2013-12-17 2013-12-17 4 SEAS SeaWorld Entertainment, Inc.
Common Stock
S - Sale -493,788 1,117,763 -30.64 28.88 -14,258,128 32,275,407
2013-12-17 2013-12-17 4 SEAS SeaWorld Entertainment, Inc.
Common Stock
S - Sale -439,049 993,855 -30.64 28.88 -12,677,540 28,697,563
2013-12-17 2013-12-17 4 SEAS SeaWorld Entertainment, Inc.
Common Stock
S - Sale -14,065,928 31,840,340 -30.64 28.88 -406,153,671 919,389,818
2013-12-17 2013-12-17 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -11,254 41,365 -21.39 25.75 -289,756 1,065,021
2013-12-17 2013-12-17 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -141,882 521,832 -21.38 25.75 -3,653,022 13,435,556
2013-12-17 2013-12-17 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -86,173 316,906 -21.38 25.75 -2,218,688 8,159,347
2013-12-17 2013-12-17 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -352,529 1,296,572 -21.38 25.75 -9,076,529 33,382,710
2013-12-17 2013-12-17 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -2,776,763 10,212,611 -21.38 25.75 -71,493,039 262,943,074
2013-12-17 2013-12-17 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -3,187,534 11,723,424 -21.38 25.75 -82,069,119 301,841,825
2013-12-17 2013-12-17 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -22,967 84,506 -21.37 25.75 -591,329 2,175,768
2013-12-17 2013-12-17 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -296,922 1,092,035 -21.38 25.75 -7,644,821 28,116,516
2013-12-17 2013-12-17 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -61,302 225,485 -21.38 25.75 -1,578,336 5,805,540
2013-12-17 2013-12-17 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -561,578 2,065,432 -21.38 25.75 -14,458,893 53,178,471
2013-12-17 2013-12-17 4 PF Pinnacle Foods Inc.
Common Stock
S - Sale -9,501,096 34,943,977 -21.38 25.75 -244,623,769 899,699,081
2013-12-12 3 HLT Hilton Worldwide Holdings Inc.
Common Stock
729,584,173
2013-12-12 3 HLT Hilton Worldwide Holdings Inc.
Common Stock
22,908,571
2013-12-12 3 HLT Hilton Worldwide Holdings Inc.
Common Stock
5,193,203
2013-11-29 2013-11-26 4 NLSN Nielsen Holdings N.V.
Common Stock
S - Sale -203,284 952,127 -17.59 39.09 -7,946,372 37,218,644
2013-11-29 2013-11-26 4 NLSN Nielsen Holdings N.V.
Common Stock
S - Sale -45,867 214,829 -17.59 39.09 -1,792,941 8,397,666
2013-11-29 2013-11-26 4 NLSN Nielsen Holdings N.V.
Common Stock
S - Sale -227,268 1,064,462 -17.59 39.09 -8,883,906 41,609,820
2013-11-29 2013-11-26 4 NLSN Nielsen Holdings N.V.
Common Stock
S - Sale -2,653,535 12,428,430 -17.59 39.09 -103,726,683 485,827,329
2013-11-29 2013-11-26 4 NLSN Nielsen Holdings N.V.
Common Stock
S - Sale -18,566 86,959 -17.59 39.09 -725,745 3,399,227
2013-11-29 2013-11-26 4 NLSN Nielsen Holdings N.V.
Common Stock
S - Sale -90,187 422,413 -17.59 39.09 -3,525,410 16,512,124
2013-11-29 2013-11-26 4 NLSN Nielsen Holdings N.V.
Common Stock
S - Sale -2,866,125 13,424,143 -17.59 39.09 -112,036,826 524,749,750
2013-11-12 3 NONE ESH Hospitality, Inc.
Paired Shares
10,214,102
2013-11-12 3 NONE ESH Hospitality, Inc.
Paired Shares
10,349,433
2013-11-12 3 NONE ESH Hospitality, Inc.
Paired Shares
3,451,734
2013-11-12 3 NONE ESH Hospitality, Inc.
Paired Shares
69,603
2013-11-12 3 NONE ESH Hospitality, Inc.
Paired Shares
6,569,209
2013-11-12 3 NONE ESH Hospitality, Inc.
Paired Shares
14,121,731
2013-11-12 3 NONE ESH Hospitality, Inc.
Paired Shares
10,765,860
2013-11-12 3 NONE ESH Hospitality, Inc.
Paired Shares
169,920
2013-11-12 3 STAY Extended Stay America, Inc.
Paired Shares
10,214,102
2013-11-12 3 STAY Extended Stay America, Inc.
Paired Shares
10,349,433
2013-11-12 3 STAY Extended Stay America, Inc.
Paired Shares
3,451,734
2013-11-12 3 STAY Extended Stay America, Inc.
Paired Shares
69,603
2013-11-12 3 STAY Extended Stay America, Inc.
Paired Shares
6,569,209
2013-11-12 3 STAY Extended Stay America, Inc.
Paired Shares
14,121,731
2013-11-12 3 STAY Extended Stay America, Inc.
Paired Shares
10,765,860
2013-11-12 3 STAY Extended Stay America, Inc.
Paired Shares
169,920
2013-11-12 3 STAY Extended Stay America, Inc.
Series A Preferred Stock of Extended Stay America, Inc.
1,290
2013-11-12 3 STAY Extended Stay America, Inc.
Series A Preferred Stock of Extended Stay America, Inc.
1,307
2013-11-12 3 STAY Extended Stay America, Inc.
Series A Preferred Stock of Extended Stay America, Inc.
436
2013-11-12 3 STAY Extended Stay America, Inc.
Series A Preferred Stock of Extended Stay America, Inc.
9
2013-11-12 3 STAY Extended Stay America, Inc.
Series A Preferred Stock of Extended Stay America, Inc.
829
2013-11-12 3 STAY Extended Stay America, Inc.
Series A Preferred Stock of Extended Stay America, Inc.
1,783
2013-11-12 3 STAY Extended Stay America, Inc.
Series A Preferred Stock of Extended Stay America, Inc.
1,359
2013-11-12 3 STAY Extended Stay America, Inc.
Series A Preferred Stock of Extended Stay America, Inc.
21
2013-10-30 3 BRX Brixmor Property Group Inc.
Common Stock
161,494,622
2013-10-03 2013-10-01 4 EK EASTMAN KODAK CO
125% Warrants
J - Other 12,838 12,838
2013-10-03 2013-10-01 4 EK EASTMAN KODAK CO
135% Warrants
J - Other 12,838 12,838
2013-10-03 2013-10-01 4 EK EASTMAN KODAK CO
125% Warrants
J - Other 10,231 10,231
2013-10-03 2013-10-01 4 EK EASTMAN KODAK CO
135% Warrants
J - Other 10,231 10,231
2013-10-03 2013-10-01 4 EK EASTMAN KODAK CO
125% Warrants
J - Other 30,951 30,951
2013-10-03 2013-10-01 4 EK EASTMAN KODAK CO
135% Warrants
J - Other 30,951 30,951
2013-10-03 2013-10-01 4 EK EASTMAN KODAK CO
125% Warrants
J - Other 33,238 33,238
2013-10-03 2013-10-01 4 EK EASTMAN KODAK CO
135% Warrants
J - Other 33,238 33,238
2013-10-03 2013-09-30 4 EK EASTMAN KODAK CO
Common Stock
J - Other 36,943 1,217,061 3.13
2013-10-03 2013-09-30 4 EK EASTMAN KODAK CO
Common Stock
J - Other 29,442 978,738 3.10
2013-10-03 2013-09-30 4 EK EASTMAN KODAK CO
Common Stock
J - Other 89,068 2,936,086 3.13
2013-10-03 2013-09-30 4 EK EASTMAN KODAK CO
Common Stock
J - Other 95,651 3,120,740 3.16
2013-10-03 2013-10-01 4 VHS VANGUARD HEALTH SYSTEMS INC
Common Stock
D - Sale to Issuer -1,487,725 0 -100.00 21.00 -31,242,225
2013-10-03 2013-10-01 4 VHS VANGUARD HEALTH SYSTEMS INC
Common Stock
D - Sale to Issuer -1,290,366 0 -100.00 21.00 -27,097,686
2013-10-03 2013-10-01 4 VHS VANGUARD HEALTH SYSTEMS INC
Common Stock
D - Sale to Issuer -782,538 0 -100.00 21.00 -16,433,298
2013-10-03 2013-10-01 4 VHS VANGUARD HEALTH SYSTEMS INC
Common Stock
D - Sale to Issuer -3,601,578 0 -100.00 21.00 -75,633,138
2013-10-03 2013-10-01 4 VHS VANGUARD HEALTH SYSTEMS INC
Common Stock
D - Sale to Issuer -1,248,232 0 -100.00 21.00 -26,212,872
2013-10-03 2013-10-01 4 VHS VANGUARD HEALTH SYSTEMS INC
Common Stock
D - Sale to Issuer -385,659 0 -100.00 21.00 -8,098,839
2013-10-03 2013-10-01 4 VHS VANGUARD HEALTH SYSTEMS INC
Common Stock
D - Sale to Issuer -20,585,466 0 -100.00 21.00 -432,294,786
2013-09-13 3 EK EASTMAN KODAK CO
Common Stock
3,025,089
2013-09-13 3 EK EASTMAN KODAK CO
Common Stock
2,847,018
2013-09-13 3 EK EASTMAN KODAK CO
Common Stock
949,296
2013-09-13 3 EK EASTMAN KODAK CO
Common Stock
1,180,118
2013-09-13 3 EK EASTMAN KODAK CO
Common Stock
48,006
2013-09-13 3 EK EASTMAN KODAK CO
Common Stock
13,853
2013-09-13 3 EK EASTMAN KODAK CO
Common Stock
1,846
2013-07-03 2013-07-01 4 KCG KNIGHT CAPITAL GROUP, INC.
Restricted Stock Units
D - Sale to Issuer -35,461 0 -100.00
2013-07-03 2013-07-01 4 KCG KNIGHT CAPITAL GROUP, INC.
Class A Common Stock
D - Sale to Issuer -344,000 0 -100.00
2013-07-03 2013-07-01 4 KCG KNIGHT CAPITAL GROUP, INC.
Class A Common Stock
D - Sale to Issuer -28,666 0 -100.00
2013-07-03 2013-07-01 4 KCG KNIGHT CAPITAL GROUP, INC.
Class A Common Stock
D - Sale to Issuer -56,502,694 0 -100.00
2013-06-14 2013-06-12 4 PBF PBF Energy Inc.
Series A Units of PBF Energy
C - Conversion -16,728 54,333 -23.54
2013-06-14 2013-06-12 4 PBF PBF Energy Inc.
Series A Units of PBF Energy
C - Conversion -138,263 449,069 -23.54
2013-06-14 2013-06-12 4 PBF PBF Energy Inc.
Series A Units of PBF Energy
C - Conversion -36,408 118,252 -23.54
2013-06-14 2013-06-12 4 PBF PBF Energy Inc.
Series A Units of PBF Energy
C - Conversion -1,182,772 3,841,575 -23.54
2013-06-14 2013-06-12 4 PBF PBF Energy Inc.
Series A Units of PBF Energy
C - Conversion -6,600,828 21,439,098 -23.54
2013-06-14 2013-06-12 4 PBF PBF Energy Inc.
Class A Common Stock
S - Sale -16,728 0 -100.00 26.19 -438,116
2013-06-14 2013-06-12 4 PBF PBF Energy Inc.
Class A Common Stock
C - Conversion 16,728 16,728
2013-06-14 2013-06-12 4 PBF PBF Energy Inc.
Class A Common Stock
S - Sale -138,263 0 -100.00 26.19 -3,621,102
2013-06-14 2013-06-12 4 PBF PBF Energy Inc.
Class A Common Stock
C - Conversion 138,263 138,263
2013-06-14 2013-06-12 4 PBF PBF Energy Inc.
Class A Common Stock
S - Sale -36,408 0 -100.00 26.19 -953,532
2013-06-14 2013-06-12 4 PBF PBF Energy Inc.
Class A Common Stock
C - Conversion 36,408 36,408
2013-06-14 2013-06-12 4 PBF PBF Energy Inc.
Class A Common Stock
S - Sale -1,182,772 0 -100.00 26.19 -30,976,811
2013-06-14 2013-06-12 4 PBF PBF Energy Inc.
Class A Common Stock
C - Conversion 1,182,772 1,182,772
2013-06-14 2013-06-12 4 PBF PBF Energy Inc.
Class A Common Stock
S - Sale -6,600,828 0 -100.00 26.19 -172,875,689
2013-06-14 2013-06-12 4 PBF PBF Energy Inc.
Class A Common Stock
C - Conversion 6,600,828 6,600,828
2013-05-30 2013-05-29 4 BXMT BLACKSTONE MORTGAGE TRUST, INC.
Class A Common Stock
P - Purchase 1,960,784 2,460,784 392.16 25.50 49,999,992 62,749,992
2013-05-28 2013-02-28 4 KCG KNIGHT CAPITAL GROUP, INC.
Series A-1 Cumulative Perpetual Convertible Preferred Stock
C - Conversion -516 0 -100.00
2013-05-28 2013-02-28 4 KCG KNIGHT CAPITAL GROUP, INC.
Series A-1 Cumulative Perpetual Convertible Preferred Stock
C - Conversion -43 0 -100.00
2013-05-28 2013-02-28 4 KCG KNIGHT CAPITAL GROUP, INC.
Series A-1 Cumulative Perpetual Convertible Preferred Stock
C - Conversion -84,754 0 -100.00
2013-05-28 2013-02-28 4 KCG KNIGHT CAPITAL GROUP, INC.
Class A Common Stock
C - Conversion 344,000 344,000
2013-05-28 2013-02-28 4 KCG KNIGHT CAPITAL GROUP, INC.
Class A Common Stock
C - Conversion 28,666 28,666
2013-05-28 2013-02-28 4 KCG KNIGHT CAPITAL GROUP, INC.
Class A Common Stock
C - Conversion 56,502,694 56,502,694
2013-05-21 2013-05-17 4 NLSN Nielsen Holdings N.V.
Common Stock
S - Sale -272,661 1,155,411 -19.09 34.48 -9,402,687 39,844,233
2013-05-21 2013-05-17 4 NLSN Nielsen Holdings N.V.
Common Stock
S - Sale -61,521 260,696 -19.09 34.48 -2,121,546 8,990,075
2013-05-21 2013-05-17 4 NLSN Nielsen Holdings N.V.
Common Stock
S - Sale -304,831 1,291,730 -19.09 34.48 -10,512,067 44,545,180
2013-05-21 2013-05-17 4 NLSN Nielsen Holdings N.V.
Common Stock
S - Sale -3,559,141 15,081,965 -19.09 34.48 -122,736,621 520,100,055
2013-05-21 2013-05-17 4 NLSN Nielsen Holdings N.V.
Common Stock
S - Sale -24,902 105,525 -19.09 34.48 -858,743 3,639,019
2013-05-21 2013-05-17 4 NLSN Nielsen Holdings N.V.
Common Stock
S - Sale -120,966 512,600 -19.09 34.48 -4,171,500 17,676,960
2013-05-21 2013-05-17 4 NLSN Nielsen Holdings N.V.
Common Stock
S - Sale -3,844,284 16,290,268 -19.09 34.48 -132,569,749 561,768,263
2013-05-01 3 EARN Ellington Residential Mortgage REIT
Common Shares
2,555,599
2013-04-25 2013-04-24 4 SEAS SeaWorld Entertainment, Inc.
Common Stock
S - Sale -243,649 719,263 -25.30 25.38 -6,183,812 18,254,895
2013-04-25 2013-04-24 4 SEAS SeaWorld Entertainment, Inc.
Common Stock
S - Sale -730,946 2,157,788 -25.30 25.38 -18,551,409 54,764,659
2013-04-25 2013-04-24 4 SEAS SeaWorld Entertainment, Inc.
Common Stock
S - Sale -667,462 1,970,378 -25.30 25.38 -16,940,186 50,008,194
2013-04-25 2013-04-24 4 SEAS SeaWorld Entertainment, Inc.
Common Stock
S - Sale -438,240 1,293,705 -25.30 25.38 -11,122,531 32,834,233
2013-04-25 2013-04-24 4 SEAS SeaWorld Entertainment, Inc.
Common Stock
S - Sale -560,746 1,655,347 -25.30 25.38 -14,231,733 42,012,707
2013-04-25 2013-04-24 4 SEAS SeaWorld Entertainment, Inc.
Common Stock
S - Sale -178,931 528,213 -25.30 25.38 -4,541,269 13,406,046
2013-04-25 2013-04-24 4 SEAS SeaWorld Entertainment, Inc.
Common Stock
S - Sale -498,058 1,470,291 -25.30 25.38 -12,640,712 37,315,986
2013-04-25 2013-04-24 4 SEAS SeaWorld Entertainment, Inc.
Common Stock
S - Sale -545,910 1,611,551 -25.30 25.38 -13,855,196 40,901,164
2013-04-25 2013-04-24 4 SEAS SeaWorld Entertainment, Inc.
Common Stock
S - Sale -485,394 1,432,904 -25.30 25.38 -12,319,300 36,367,104
2013-04-25 2013-04-24 4 SEAS SeaWorld Entertainment, Inc.
Common Stock
S - Sale -15,550,664 45,906,268 -25.30 25.38 -394,675,852 1,165,101,082
2013-03-27 3 PF Pinnacle Foods Inc.
Common Stock
44,445,073
2013-03-27 3 PF Pinnacle Foods Inc.
Common Stock
2,627,010
2013-03-27 3 PF Pinnacle Foods Inc.
Common Stock
286,787
2013-03-27 3 PF Pinnacle Foods Inc.
Common Stock
1,388,957
2013-03-27 3 PF Pinnacle Foods Inc.
Common Stock
107,473
2013-03-27 3 PF Pinnacle Foods Inc.
Common Stock
14,910,958
2013-03-27 3 PF Pinnacle Foods Inc.
Common Stock
12,989,374
2013-03-27 3 PF Pinnacle Foods Inc.
Common Stock
1,649,101
2013-03-27 3 PF Pinnacle Foods Inc.
Common Stock
403,079
2013-03-27 3 PF Pinnacle Foods Inc.
Common Stock
663,719
2013-03-27 3 PF Pinnacle Foods Inc.
Common Stock
52,619
2013-03-19 2013-03-15 4 KOS Kosmos Energy Ltd.
Common Shares
S - Sale -5,221 312,256 -1.64 10.59 -55,277 3,306,010
2013-03-19 2013-03-15 4 KOS Kosmos Energy Ltd.
Common Shares
S - Sale -38,450 2,299,722 -1.64 10.59 -407,089 24,348,307
2013-03-19 2013-03-15 4 KOS Kosmos Energy Ltd.
Common Shares
S - Sale -46,308 2,769,766 -1.64 10.59 -490,286 29,324,898
2013-03-19 2013-03-15 4 KOS Kosmos Energy Ltd.
Common Shares
S - Sale -28,631 1,712,440 -1.64 10.59 -303,131 18,130,458
2013-03-19 2013-03-15 4 KOS Kosmos Energy Ltd.
Common Shares
S - Sale -1,755,619 105,005,826 -1.64 10.59 -18,587,616 1,111,749,183
2013-02-25 2013-02-21 4 NLSN Nielsen Holdings N.V.
Common Stock
S - Sale -276,488 1,428,072 -16.22 31.57 -8,729,694 45,089,231
2013-02-25 2013-02-21 4 NLSN Nielsen Holdings N.V.
Common Stock
S - Sale -62,384 322,217 -16.22 31.57 -1,969,681 10,173,518
2013-02-25 2013-02-21 4 NLSN Nielsen Holdings N.V.
Common Stock
S - Sale -309,109 1,596,561 -16.22 31.57 -9,759,653 50,409,019
2013-02-25 2013-02-21 4 NLSN Nielsen Holdings N.V.
Common Stock
S - Sale -3,609,091 18,641,106 -16.22 31.57 -113,951,635 588,564,960
2013-02-25 2013-02-21 4 NLSN Nielsen Holdings N.V.
Common Stock
S - Sale -25,252 130,427 -16.22 31.57 -797,294 4,118,037
2013-02-25 2013-02-21 4 NLSN Nielsen Holdings N.V.
Common Stock
S - Sale -122,664 633,566 -16.22 31.57 -3,872,932 20,003,896
2013-02-25 2013-02-21 4 NLSN Nielsen Holdings N.V.
Common Stock
S - Sale -3,898,236 20,134,552 -16.22 31.57 -123,080,954 635,718,278
2013-02-25 2013-02-21 4 KOS Kosmos Energy Ltd.
Common Shares
S - Sale -34,362 317,477 -9.77 10.59 -363,808 3,361,288
2013-02-25 2013-02-21 4 KOS Kosmos Energy Ltd.
Common Shares
S - Sale -253,071 2,338,172 -9.77 10.59 -2,679,389 24,755,396
2013-02-25 2013-02-21 4 KOS Kosmos Energy Ltd.
Common Shares
S - Sale -304,796 2,816,074 -9.77 10.59 -3,227,028 29,815,183
2013-02-25 2013-02-21 4 KOS Kosmos Energy Ltd.
Common Shares
S - Sale -188,444 1,741,071 -9.77 10.59 -1,995,151 18,433,589
2013-02-25 2013-02-21 4 KOS Kosmos Energy Ltd.
Common Shares
S - Sale -11,555,266 106,761,445 -9.77 10.59 -122,341,379 1,130,336,799
2013-02-22 2013-02-20 4 TRW TRW AUTOMOTIVE HOLDINGS CORP
Common Stock, par value $0.01 per share
S - Sale -9,215,354 10,273,062 -47.29 59.10 -544,627,421 607,137,964
2013-02-20 2013-02-15 4 TMH TEAM HEALTH HOLDINGS INC.
Common Stock
S - Sale -9,588,990 0 -100.00 33.21 -318,450,358
2012-12-28 2012-12-31 4 TMH TEAM HEALTH HOLDINGS INC.
Common Stock
S - Sale -792,572 9,588,990 -7.63 28.85 -22,865,702 276,642,362
2012-12-28 2012-12-24 4 TMH TEAM HEALTH HOLDINGS INC.
Common Stock
S - Sale -8,000,000 10,381,562 -43.52 28.85 -230,800,000 299,508,064
2012-12-21 3 CT CAPITAL TRUST INC
Class A Common Stock
5,000,000
2012-12-20 2012-12-18 4 PBF PBF Energy Inc.
Series A Units of PBF Energy Company LLC
S - Sale -3,217 71,061 -4.33 26.00 -83,652 1,847,591
2012-12-20 2012-12-18 4 PBF PBF Energy Inc.
Series A Units of PBF Energy Company LLC
S - Sale -26,592 587,332 -4.33 26.00 -691,400 15,270,632
2012-12-20 2012-12-18 4 PBF PBF Energy Inc.
Series A Units of PBF Energy Company LLC
S - Sale -7,002 154,660 -4.33 26.00 -182,065 4,021,160
2012-12-20 2012-12-18 4 PBF PBF Energy Inc.
Series A Units of PBF Energy Company LLC
S - Sale -227,484 5,024,347 -4.33 26.00 -5,914,592 130,633,030
2012-12-20 2012-12-18 4 PBF PBF Energy Inc.
Series A Units of PBF Energy Company LLC
S - Sale -1,269,547 28,039,926 -4.33 26.00 -33,008,212 729,038,079
2012-12-13 3 PBF PBF Energy Inc.
Class B Common Stock
1
2012-12-13 3 PBF PBF Energy Inc.
Class B Common Stock
1
2012-12-13 3 PBF PBF Energy Inc.
Class B Common Stock
1
2012-12-13 3 PBF PBF Energy Inc.
Class B Common Stock
1
2012-12-13 3 PBF PBF Energy Inc.
Class B Common Stock
1
2012-10-26 3 XTXI CROSSTEX ENERGY INC
Common Stock
5,121,480
2012-10-26 3 XTXI CROSSTEX ENERGY INC
Common Stock
1,878,520
2012-09-25 3 BGB Blackstone / GSO Strategic Credit Fund
Common Shares
5,236
2012-09-19 2012-09-17 4 TMH TEAM HEALTH HOLDINGS INC.
Common Stock
S - Sale -8,000,000 18,381,562 -30.32 27.92 -223,360,000 513,213,211
2012-09-18 2012-09-14 4 KCG KNIGHT CAPITAL GROUP, INC.
Series A-1 Cumulative Perpetual Convertible Preferred Stock
C - Conversion 414 516 405.88
2012-09-18 2012-09-14 4 KCG KNIGHT CAPITAL GROUP, INC.
Series A-1 Cumulative Perpetual Convertible Preferred Stock
C - Conversion 35 43 437.50
2012-09-18 2012-09-14 4 KCG KNIGHT CAPITAL GROUP, INC.
Series A-1 Cumulative Perpetual Convertible Preferred Stock
C - Conversion 67,888 84,754 402.51
2012-09-18 2012-09-14 4 KCG KNIGHT CAPITAL GROUP, INC.
Series A-2 Cumulative Perpetual Convertible Preferred Stock
C - Conversion -414 0 -100.00
2012-09-18 2012-09-14 4 KCG KNIGHT CAPITAL GROUP, INC.
Series A-2 Cumulative Perpetual Convertible Preferred Stock
C - Conversion -35 0 -100.00
2012-09-18 2012-09-14 4 KCG KNIGHT CAPITAL GROUP, INC.
Series A-2 Cumulative Perpetual Convertible Preferred Stock
C - Conversion -67,888 0 -100.00
2012-09-18 2012-08-27 4 KCG KNIGHT CAPITAL GROUP, INC.
Restricted Stock Units
A - Award 35,461 35,461
2012-08-21 2012-08-17 4 KCG KNIGHT CAPITAL GROUP, INC.
Series A-1 Cumulative Perpetual Convertible Preferred Stock
S - Sale -3 102 -2.86 1,500.00 -4,500 153,000
2012-08-21 2012-08-17 4 KCG KNIGHT CAPITAL GROUP, INC.
Series A-1 Cumulative Perpetual Convertible Preferred Stock
S - Sale -432 16,866 -2.50 1,500.00 -648,000 25,299,000
2012-08-21 2012-08-17 4 KCG KNIGHT CAPITAL GROUP, INC.
Series A-2 Non-Voting Cumulative Perpetual Conv Pref Stock
S - Sale -10 414 -2.36 1,500.00 -15,000 621,000
2012-08-21 2012-08-17 4 KCG KNIGHT CAPITAL GROUP, INC.
Series A-2 Non-Voting Cumulative Perpetual Conv Pref Stock
S - Sale -1 35 -2.78 1,500.00 -1,500 52,500
2012-08-21 2012-08-17 4 KCG KNIGHT CAPITAL GROUP, INC.
Series A-2 Non-Voting Cumulative Perpetual Conv Pref Stock
S - Sale -1,741 67,888 -2.50 1,500.00 -2,611,500 101,832,000
2012-08-16 3 KCG KNIGHT CAPITAL GROUP, INC.
Series A-2 Non-Voting Cumulative Perpetual Conv Pref Stock
69,629
2012-08-16 3 KCG KNIGHT CAPITAL GROUP, INC.
Series A-2 Non-Voting Cumulative Perpetual Conv Pref Stock
36
2012-08-16 3 KCG KNIGHT CAPITAL GROUP, INC.
Series A-2 Non-Voting Cumulative Perpetual Conv Pref Stock
424
2012-07-09 2012-07-05 4 TMH TEAM HEALTH HOLDINGS INC.
Common Stock
S - Sale -9,125,000 26,381,562 -25.70 23.00 -209,875,000 606,775,926
2012-05-29 2012-05-24 4 SARA SARATOGA RESOURCES INC /TX
Common Stock
P - Purchase 800,000 4,800,000 20.00 6.25 5,000,000 30,000,000
2012-03-30 3/A VHS VANGUARD HEALTH SYSTEMS INC
Common Stock
20,585,466
2012-03-30 3/A VHS VANGUARD HEALTH SYSTEMS INC
Common Stock
385,659
2012-03-30 3/A VHS VANGUARD HEALTH SYSTEMS INC
Common Stock
1,248,232
2012-03-30 3/A VHS VANGUARD HEALTH SYSTEMS INC
Common Stock
3,601,578
2012-03-30 3/A VHS VANGUARD HEALTH SYSTEMS INC
Common Stock
782,538
2012-03-30 3/A VHS VANGUARD HEALTH SYSTEMS INC
Common Stock
1,290,366
2012-03-30 3/A VHS VANGUARD HEALTH SYSTEMS INC
Common Stock
1,487,725
2012-03-29 3/A FSL Freescale Semiconductor Holdings I, Ltd.
Common Stock
196,136,895
2012-03-28 2012-03-26 4 NLSN Nielsen Holdings N.V.
Common Stock
S - Sale -130,053 1,704,560 -7.09 29.12 -3,786,571 49,629,287
2012-03-28 2012-03-26 4 NLSN Nielsen Holdings N.V.
Common Stock
S - Sale -29,344 384,601 -7.09 29.12 -854,368 11,197,889
2012-03-28 2012-03-26 4 NLSN Nielsen Holdings N.V.
Common Stock
S - Sale -145,398 1,905,669 -7.09 29.12 -4,233,350 55,484,696
2012-03-28 2012-03-26 4 NLSN Nielsen Holdings N.V.
Common Stock
S - Sale -1,697,630 22,250,197 -7.09 29.12 -49,427,516 647,827,836
2012-03-28 2012-03-26 4 NLSN Nielsen Holdings N.V.
Common Stock
S - Sale -11,878 155,679 -7.09 29.12 -345,835 4,532,687
2012-03-28 2012-03-26 4 NLSN Nielsen Holdings N.V.
Common Stock
S - Sale -57,698 756,230 -7.09 29.12 -1,679,912 22,018,090
2012-03-28 2012-03-26 4 NLSN Nielsen Holdings N.V.
Common Stock
S - Sale -1,833,636 24,032,788 -7.09 29.12 -53,387,412 699,729,042
2012-03-28 3/A NLSN Nielsen Holdings N.V.
Common Stock
25,866,424
2012-03-28 3/A NLSN Nielsen Holdings N.V.
Common Stock
813,928
2012-03-28 3/A NLSN Nielsen Holdings N.V.
Common Stock
167,557
2012-03-28 3/A NLSN Nielsen Holdings N.V.
Common Stock
23,947,827
2012-03-28 3/A NLSN Nielsen Holdings N.V.
Common Stock
2,051,067
2012-03-28 3/A NLSN Nielsen Holdings N.V.
Common Stock
413,945
2012-03-28 3/A NLSN Nielsen Holdings N.V.
Common Stock
1,834,613
2012-02-29 2012-02-29 4 BKU BankUnited, Inc.
Series A Nonvoting Convertible Preferred Stock
J - Other 4,180 4,180
2012-02-29 2012-02-29 4 BKU BankUnited, Inc.
Series A Nonvoting Convertible Preferred Stock
J - Other 7,193 7,193
2012-02-29 2012-02-29 4 BKU BankUnited, Inc.
Series A Nonvoting Convertible Preferred Stock
J - Other 1,287,389 1,287,389
2012-02-29 2012-02-29 4 BKU BankUnited, Inc.
Series A Nonvoting Convertible Preferred Stock
J - Other 4,117,032 4,117,032
2012-02-29 2012-02-29 4 BKU BankUnited, Inc.
Common Stock
J - Other -4,180 6,410 -39.47
2012-02-29 2012-02-29 4 BKU BankUnited, Inc.
Common Stock
J - Other -7,193 11,031 -39.47
2012-02-29 2012-02-29 4 BKU BankUnited, Inc.
Common Stock
J - Other -1,287,389 1,974,262 -39.47
2012-02-29 2012-02-29 4 BKU BankUnited, Inc.
Common Stock
J - Other -4,117,032 6,313,634 -39.47
2011-07-21 3 SROE SARATOGA RESOURCES INC /TX
Common Stock
2,982,321
2011-07-21 3 SROE SARATOGA RESOURCES INC /TX
Common Stock
1,017,679
2011-07-20 2011-07-19 4 LNG CHENIERE ENERGY INC
Common Stock
S - Sale -14,366 96,879 -12.91 9.63 -138,345 932,945
2011-07-20 2011-07-19 4 LNG CHENIERE ENERGY INC
Common Stock
S - Sale -548,519 3,646,449 -13.08 9.63 -5,282,238 35,115,304
2011-07-20 2011-07-19 4 LNG CHENIERE ENERGY INC
Common Stock
S - Sale -296,281 1,969,622 -13.08 9.63 -2,853,186 18,967,460
2011-07-20 2011-07-19 4 LNG CHENIERE ENERGY INC
Common Stock
S - Sale -338,434 2,249,840 -13.08 9.63 -3,259,119 21,665,959
2011-07-20 2011-07-18 4 LNG CHENIERE ENERGY INC
Common Stock
S - Sale -5,427 111,245 -4.65 9.67 -52,479 1,075,739
2011-07-20 2011-07-18 4 LNG CHENIERE ENERGY INC
Common Stock
S - Sale -207,206 4,194,968 -4.71 9.67 -2,003,682 40,565,341
2011-07-20 2011-07-18 4 LNG CHENIERE ENERGY INC
Common Stock
S - Sale -111,922 2,265,903 -4.71 9.67 -1,082,286 21,911,282
2011-07-20 2011-07-18 4 LNG CHENIERE ENERGY INC
Common Stock
S - Sale -127,845 2,588,274 -4.71 9.67 -1,236,261 25,028,610
2011-04-06 2011-04-05 4 TMH TEAM HEALTH HOLDINGS INC.
Common Stock
S - Sale -830,000 35,506,562 -2.28 16.33 -13,554,315 579,839,911
2011-03-04 2011-03-02 4 TMH TEAM HEALTH HOLDINGS INC.
Common Stock
S - Sale -7,950,000 36,336,562 -17.95 16.33 -129,827,475 593,394,226
2010-12-23 3 LNG CHENIERE ENERGY INC
Common Stock
134,889
2010-12-23 3 LNG CHENIERE ENERGY INC
Common Stock
2,716,119
2010-12-23 3 LNG CHENIERE ENERGY INC
Common Stock
2,377,825
2010-12-23 3 LNG CHENIERE ENERGY INC
Common Stock
4,402,174
2010-12-23 3 LNG CHENIERE ENERGY INC
Common Stock
116,672
2010-11-17 2010-11-15 4 TRW TRW AUTOMOTIVE HOLDINGS CORP
Common Stock, par value $0.01 per share
S - Sale -9,040,313 19,488,416 -31.69 48.26 -436,285,505 940,510,956
2010-09-13 2010-09-09 4 TRW TRW AUTOMOTIVE HOLDINGS CORP
Common Stock, par value $0.01 per share
S - Sale -7,493,201 28,528,729 -20.80 35.30 -264,509,995 1,007,064,134
2009-12-16 3 TMH TEAM HEALTH HOLDINGS INC.
Common Stock
44,286,562
2009-11-12 2009-11-09 4 STAN STANDARD PARKING CORP
Common Stock
S - Sale -1,214,655 182,199 -86.96 15.14 -18,389,877 2,758,493
2009-11-12 2009-11-09 4 STAN STANDARD PARKING CORP
Common Stock
S - Sale -160,615 0 -100.00 15.14 -2,431,711
2009-11-12 2009-11-09 4 STAN STANDARD PARKING CORP
Common Stock
S - Sale -1,463,627 243,636 -85.73 15.14 -22,159,313 3,688,649
2009-11-12 2009-11-09 4 STAN STANDARD PARKING CORP
Common Stock
S - Sale -2,178,617 326,792 -86.96 15.14 -32,984,261 4,947,631
2009-05-26 3 STAN STANDARD PARKING CORP
Common Stock
2,505,409
2009-05-26 3 STAN STANDARD PARKING CORP
Common Stock
1,707,263
2009-05-26 3 STAN STANDARD PARKING CORP
Common Stock
160,615
2009-05-26 3 STAN STANDARD PARKING CORP
Common Stock
1,396,854
2007-06-28 3 TRW TRW AUTOMOTIVE HOLDINGS CORP
Common stock, par value $0.01 per share
46,060,285
P
非衍生或衍生证券的公开市场或私下买入
S
非衍生或衍生证券的公开市场或私下卖出
A
公司向内部人员授予、奖励或以其他方式获取证券(例如股票期权)
C
衍生工具转换
D
将证券卖出或转让回公司
F
使用从公司收到的证券的一部分来支付行使价或税务负担。
G
内部人士赠送或接收他人赠送公司股票
K
股权掉期和类似的避险交易
M
行使或转换从公司获得的衍生证券(例如期权)
V
内部人士通过Form 4自愿报告的一笔交易
J
其他(附有交易描述的脚注)