Bridger Aerospace Group Holdings, Inc. - Equity Warrant
US ˙ NasdaqGM ˙ US96812F1104

Introdução

Esta página fornece uma análise abrangente do histórico conhecido de negociações internas de Blackstone Holdings I L.P.. Insiders são oficiais, diretores ou investidores significativos em uma empresa. É ilegal para insiders realizarem negociações em suas próprias empresas baseados em informações específicas, não públicas. Isso não significa que seja ilegal para eles realizarem qualquer negociação em suas próprias empresas. No entanto, eles devem reportar todas as negociações à SEC através de um Formulário 4. Apesar dessas restrições, pesquisas acadêmicas sugerem que insiders - em geral - tendem a superar o mercado em suas próprias empresas.

Rentabilidade Média de Negociação

A rentabilidade média de negociação é o retorno médio de todas as compras de mercado abertas feitas pelo insider nos últimos três anos. Para calcular isso, examinamos cada compra de mercado aberto, não planejada, feita pelo insider, excluindo todas as negociações que foram marcadas como parte de um plano de negociação 10b5-1. Em seguida, calculamos o desempenho médio dessas negociações ao longo de 3, 6 e 12 meses, fazendo a média de cada uma dessas durações para gerar uma métrica de desempenho final para cada negociação. Finalmente, fazemos a média de todas as métricas de desempenho para calcular uma métrica de desempenho para o insider. Esta lista inclui apenas insiders que fizeram pelo menos três negociações nos últimos dois anos.

Se a rentabilidade de negociação deste insider é "N/A", então o insider ou não fez quaisquer compras de mercado aberto nos últimos três anos, ou as negociações que eles fizeram são muito recentes para calcular uma métrica de desempenho confiável.

Frequência de Atualização: Diariamente

Veja a lista dos negociantes internos mais rentáveis.

Empresas com Posições Internas Reportadas

As declarações à SEC indicam que Blackstone Holdings I L.P. reportou posses ou negociações nas seguintes empresas:

Ativo Título Últimas Posições Reportadas
10% Owner 0
10% Owner 7,117,034
10% Owner 209,042
10% Owner 1,666,667
10% Owner 0
US:BAER / Bridger Aerospace Group Holdings, Inc. 10% Owner 9,389,895
US:SARA / SARATOGA RES INC TEX 10% Owner 0
US:CHNG / Change Healthcare Inc 10% Owner 0
US:SMFR / Sema4 Holdings Corp - Class A 10% Owner 162,309
0
0
US:OPFI / OppFi Inc. 10% Owner 0
US:PRAX / Praxis Precision Medicines, Inc. 10% Owner 0
US:TALS / Talaris Therapeutics Inc 10% Owner 0
US:PACK / Ranpak Holdings Corp. 10% Owner 2,380,800
US:US09261HAT41 / Blackstone Private Credit Fund 10% Owner 1,000,000
10% Owner 0
US:KODK / Eastman Kodak Company 10% Owner 0
US:BXSL / Blackstone Secured Lending Fund 10% Owner 192,060
US:DFBG / Differential Brands Group Inc. 10% Owner 35,578,250
10% Owner 642,881
10% Owner 8,000
US:UAN / CVR Partners, LP - Limited Partnership 10% Owner 1,459,328
US:WLKP / Westlake Chemical Partners LP - Limited Partnership 10% Owner 0
US:US428102AE79 / Hess Midstream Operations LP 10% Owner 0
US:SD / SandRidge Energy, Inc. 10% Owner 995,116
US:04941A101 / Atlas Resource Partners L.P. 10% Owner 1,003,457
US:RTK / Rentech, Inc. 10% Owner 0
10% Owner 1,111,112
US:XTXI / 10% Owner 0
US:XTEX / 10% Owner 17,095,133
10% Owner 1,000,000
US:HLT / Hilton Worldwide Holdings Inc. 10% Owner 0
US:BGB / Blackstone Strategic Credit 2027 Term Fund 5,236
US:LNG / Cheniere Energy, Inc. 10% Owner 96,879
10% Owner 182,199
Como Interpretar os Gráficos

Os gráficos a seguir mostram o desempenho das ações dos a ativos ubsequentes a cada transação de mercado aberto, não planejada feita por Blackstone Holdings I L.P.. Transações não planejadas são negociações que não foram feitas como parte de um plano de negociação 10b5-1. O desempenho das ações é representado como mudança percentual cumulativa no preço das ações. Por exemplo, se uma transação interna foi feita em 1 de janeiro de 2019, o gráfico mostrará a mudança percentual diária da segurança até o dia presente. Se o preço da ação passasse de $10 para $15 durante este período, a mudança percentual cumulativa no preço das ações seria de 50%. Uma mudança no preço de $10 para $20 seria de 100%, e uma mudança no preço de $10 para $5 seria de -50%.

Ultimamente, estamos tentando determinar quão estreitamente as negociações do interno correlacionam-se a retornos excessivos (positivos ou negativos) no preço da ação para ver se o interno está cronometrando suas transações para lucrar com informações internas. Considere a situação onde um interno estava fazendo isso. Nesta situação, esperaríamos (a) retornos positivos após compras, ou (b) retornos negativos após vendas. No caso de (a), o gráfico de COMPRA mostraria uma série de curvas ascendentes, indicando retornos positivos após cada transação de compra. No caso de (b), o gráfico de VENDA mostraria uma série de curvas descendentes, indicando retornos negativos após cada transação de venda.

No entanto, isso sozinho não é suficiente para tirar conclusões. Se, por exemplo, o preço da ação da empresa estivesse em uma escalada não cíclica ao longo de muitos anos, então esperaríamos que todos os gráficos pós-compra tivessem uma inclinação ascendente. Da mesma forma, declínios não cíclicos ao longo de muitos anos resultariam em gráficos pós-negociação inclinados para baixo. Nenhum desses gráficos sugeriria atividade de negociação interna.

O indicador mais forte seria uma situação em que o preço da ação fosse extremamente cíclico, e houvesse sinais positivos no gráfico de COMPRA e gráficos negativos no gráfico de VENDA. Esta situação seria altamente sugestiva de um interno que estava cronometrando transações para sua vantagem financeira.

Compras Internas BAERW / Bridger Aerospace Group Holdings, Inc. - Equity Warrant - Análise de Lucro de Curto Prazo

Nesta seção, analisamos a lucratividade de cada compra interna de mercado aberto, não planejada, feita em BAERW / Bridger Aerospace Group Holdings, Inc. - Equity Warrant. Esta análise ajuda a entender se o interno gera consistentemente retornos anormais, e vale a pena seguir. Esta análise é para um ano seguinte a cada transação, e os resultados são teóricos.

A tabela a seguir mostra as compras de mercado aberto mais recentes que não faziam parte de um plano de negociação automático.

Data de Negociação Ticker Insider Ações
Reportadas
Preço
Reportado
Ações
Ajustadas
Preço
Ajustado
Base de Custos Dias para
Máx
Preço em
Máx
Lucro
Máx ($)
Retorno Máx (%)
Não há negociações abertas de mercado não planejadas conhecidas para esta combinação de insider e ativo

O Preço Ajustado é o preço ajustado pela divisão. Ações Ajustadas são as ações ajustadas pela divisão.

BAERW / Bridger Aerospace Group Holdings, Inc. - Equity Warrant Insider Trades
Vendas Internas BAERW / Bridger Aerospace Group Holdings, Inc. - Equity Warrant - Análise de Perda de Curto Prazo

Nesta seção, analisamos a evitação de perdas de curto prazo de cada venda interna de mercado aberto, não planejada feita em BAERW / Bridger Aerospace Group Holdings, Inc. - Equity Warrant. Um padrão consistente de evitação de perdas pode sugerir que transações futuras de venda possam prever declínios no preço. Esta análise é para um ano seguinte a cada transação, e os resultados são teóricos.

A tabela a seguir mostra as vendas de mercado aberto mais recentes que não faziam parte de um plano de negociação automático.

Data de Negociação Ticker Insider Ações
Reportadas
Preço
Reportado
Ações
Ajustadas
Preço
Ajustado
Base de Custos Dias para
Mín
Preço em
Mín
Máxima Perda
Evitada ($)
Máxima Perda
Evitada (%)
Não há negociações abertas de mercado não planejadas conhecidas para esta combinação de insider e ativo

O Preço Ajustado é o preço ajustado pela divisão. Ações Ajustadas são as ações ajustadas pela divisão.

BAERW / Bridger Aerospace Group Holdings, Inc. - Equity Warrant Insider Trades
Compras Internas BGB / Blackstone Strategic Credit 2027 Term Fund - Análise de Lucro de Curto Prazo

Nesta seção, analisamos a lucratividade de cada compra interna de mercado aberto, não planejada, feita em BAERW / Bridger Aerospace Group Holdings, Inc. - Equity Warrant. Esta análise ajuda a entender se o interno gera consistentemente retornos anormais, e vale a pena seguir. Esta análise é para um ano seguinte a cada transação, e os resultados são teóricos.

A tabela a seguir mostra as compras de mercado aberto mais recentes que não faziam parte de um plano de negociação automático.

Data de Negociação Ticker Insider Ações
Reportadas
Preço
Reportado
Ações
Ajustadas
Preço
Ajustado
Base de Custos Dias para
Máx
Preço em
Máx
Lucro
Máx ($)
Retorno Máx (%)
Não há negociações abertas de mercado não planejadas conhecidas para esta combinação de insider e ativo

O Preço Ajustado é o preço ajustado pela divisão. Ações Ajustadas são as ações ajustadas pela divisão.

BGB / Blackstone Strategic Credit 2027 Term Fund Insider Trades
Vendas Internas BGB / Blackstone Strategic Credit 2027 Term Fund - Análise de Perda de Curto Prazo

Nesta seção, analisamos a evitação de perdas de curto prazo de cada venda interna de mercado aberto, não planejada feita em BAERW / Bridger Aerospace Group Holdings, Inc. - Equity Warrant. Um padrão consistente de evitação de perdas pode sugerir que transações futuras de venda possam prever declínios no preço. Esta análise é para um ano seguinte a cada transação, e os resultados são teóricos.

A tabela a seguir mostra as vendas de mercado aberto mais recentes que não faziam parte de um plano de negociação automático.

Data de Negociação Ticker Insider Ações
Reportadas
Preço
Reportado
Ações
Ajustadas
Preço
Ajustado
Base de Custos Dias para
Mín
Preço em
Mín
Máxima Perda
Evitada ($)
Máxima Perda
Evitada (%)
Não há negociações abertas de mercado não planejadas conhecidas para esta combinação de insider e ativo

O Preço Ajustado é o preço ajustado pela divisão. Ações Ajustadas são as ações ajustadas pela divisão.

BGB / Blackstone Strategic Credit 2027 Term Fund Insider Trades
Compras Internas BXSL / Blackstone Secured Lending Fund - Análise de Lucro de Curto Prazo

Nesta seção, analisamos a lucratividade de cada compra interna de mercado aberto, não planejada, feita em BAERW / Bridger Aerospace Group Holdings, Inc. - Equity Warrant. Esta análise ajuda a entender se o interno gera consistentemente retornos anormais, e vale a pena seguir. Esta análise é para um ano seguinte a cada transação, e os resultados são teóricos.

A tabela a seguir mostra as compras de mercado aberto mais recentes que não faziam parte de um plano de negociação automático.

Data de Negociação Ticker Insider Ações
Reportadas
Preço
Reportado
Ações
Ajustadas
Preço
Ajustado
Base de Custos Dias para
Máx
Preço em
Máx
Lucro
Máx ($)
Retorno Máx (%)
2018-11-06 NONE Blackstone BGSL Holdings LLC 192,000 25.0000 192,000 25.0000 4,800,000 731

O Preço Ajustado é o preço ajustado pela divisão. Ações Ajustadas são as ações ajustadas pela divisão.

BXSL / Blackstone Secured Lending Fund Insider Trades
Vendas Internas BXSL / Blackstone Secured Lending Fund - Análise de Perda de Curto Prazo

Nesta seção, analisamos a evitação de perdas de curto prazo de cada venda interna de mercado aberto, não planejada feita em BAERW / Bridger Aerospace Group Holdings, Inc. - Equity Warrant. Um padrão consistente de evitação de perdas pode sugerir que transações futuras de venda possam prever declínios no preço. Esta análise é para um ano seguinte a cada transação, e os resultados são teóricos.

A tabela a seguir mostra as vendas de mercado aberto mais recentes que não faziam parte de um plano de negociação automático.

Data de Negociação Ticker Insider Ações
Reportadas
Preço
Reportado
Ações
Ajustadas
Preço
Ajustado
Base de Custos Dias para
Mín
Preço em
Mín
Máxima Perda
Evitada ($)
Máxima Perda
Evitada (%)
Não há negociações abertas de mercado não planejadas conhecidas para esta combinação de insider e ativo

O Preço Ajustado é o preço ajustado pela divisão. Ações Ajustadas são as ações ajustadas pela divisão.

BXSL / Blackstone Secured Lending Fund Insider Trades
Compras Internas LNG / Cheniere Energy, Inc. - Análise de Lucro de Curto Prazo

Nesta seção, analisamos a lucratividade de cada compra interna de mercado aberto, não planejada, feita em BAERW / Bridger Aerospace Group Holdings, Inc. - Equity Warrant. Esta análise ajuda a entender se o interno gera consistentemente retornos anormais, e vale a pena seguir. Esta análise é para um ano seguinte a cada transação, e os resultados são teóricos.

A tabela a seguir mostra as compras de mercado aberto mais recentes que não faziam parte de um plano de negociação automático.

Data de Negociação Ticker Insider Ações
Reportadas
Preço
Reportado
Ações
Ajustadas
Preço
Ajustado
Base de Custos Dias para
Máx
Preço em
Máx
Lucro
Máx ($)
Retorno Máx (%)
Não há negociações abertas de mercado não planejadas conhecidas para esta combinação de insider e ativo

O Preço Ajustado é o preço ajustado pela divisão. Ações Ajustadas são as ações ajustadas pela divisão.

LNG / Cheniere Energy, Inc. Insider Trades
Vendas Internas LNG / Cheniere Energy, Inc. - Análise de Perda de Curto Prazo

Nesta seção, analisamos a evitação de perdas de curto prazo de cada venda interna de mercado aberto, não planejada feita em BAERW / Bridger Aerospace Group Holdings, Inc. - Equity Warrant. Um padrão consistente de evitação de perdas pode sugerir que transações futuras de venda possam prever declínios no preço. Esta análise é para um ano seguinte a cada transação, e os resultados são teóricos.

A tabela a seguir mostra as vendas de mercado aberto mais recentes que não faziam parte de um plano de negociação automático.

Data de Negociação Ticker Insider Ações
Reportadas
Preço
Reportado
Ações
Ajustadas
Preço
Ajustado
Base de Custos Dias para
Mín
Preço em
Mín
Máxima Perda
Evitada ($)
Máxima Perda
Evitada (%)
Não há negociações abertas de mercado não planejadas conhecidas para esta combinação de insider e ativo

O Preço Ajustado é o preço ajustado pela divisão. Ações Ajustadas são as ações ajustadas pela divisão.

LNG / Cheniere Energy, Inc. Insider Trades
Compras Internas OPFI / OppFi Inc. - Análise de Lucro de Curto Prazo

Nesta seção, analisamos a lucratividade de cada compra interna de mercado aberto, não planejada, feita em BAERW / Bridger Aerospace Group Holdings, Inc. - Equity Warrant. Esta análise ajuda a entender se o interno gera consistentemente retornos anormais, e vale a pena seguir. Esta análise é para um ano seguinte a cada transação, e os resultados são teóricos.

A tabela a seguir mostra as compras de mercado aberto mais recentes que não faziam parte de um plano de negociação automático.

Data de Negociação Ticker Insider Ações
Reportadas
Preço
Reportado
Ações
Ajustadas
Preço
Ajustado
Base de Custos Dias para
Máx
Preço em
Máx
Lucro
Máx ($)
Retorno Máx (%)
Não há negociações abertas de mercado não planejadas conhecidas para esta combinação de insider e ativo

O Preço Ajustado é o preço ajustado pela divisão. Ações Ajustadas são as ações ajustadas pela divisão.

OPFI / OppFi Inc. Insider Trades
Vendas Internas OPFI / OppFi Inc. - Análise de Perda de Curto Prazo

Nesta seção, analisamos a evitação de perdas de curto prazo de cada venda interna de mercado aberto, não planejada feita em BAERW / Bridger Aerospace Group Holdings, Inc. - Equity Warrant. Um padrão consistente de evitação de perdas pode sugerir que transações futuras de venda possam prever declínios no preço. Esta análise é para um ano seguinte a cada transação, e os resultados são teóricos.

A tabela a seguir mostra as vendas de mercado aberto mais recentes que não faziam parte de um plano de negociação automático.

Data de Negociação Ticker Insider Ações
Reportadas
Preço
Reportado
Ações
Ajustadas
Preço
Ajustado
Base de Custos Dias para
Mín
Preço em
Mín
Máxima Perda
Evitada ($)
Máxima Perda
Evitada (%)
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

O Preço Ajustado é o preço ajustado pela divisão. Ações Ajustadas são as ações ajustadas pela divisão.

OPFI / OppFi Inc. Insider Trades
Compras Internas PACK / Ranpak Holdings Corp. - Análise de Lucro de Curto Prazo

Nesta seção, analisamos a lucratividade de cada compra interna de mercado aberto, não planejada, feita em BAERW / Bridger Aerospace Group Holdings, Inc. - Equity Warrant. Esta análise ajuda a entender se o interno gera consistentemente retornos anormais, e vale a pena seguir. Esta análise é para um ano seguinte a cada transação, e os resultados são teóricos.

A tabela a seguir mostra as compras de mercado aberto mais recentes que não faziam parte de um plano de negociação automático.

Data de Negociação Ticker Insider Ações
Reportadas
Preço
Reportado
Ações
Ajustadas
Preço
Ajustado
Base de Custos Dias para
Máx
Preço em
Máx
Lucro
Máx ($)
Retorno Máx (%)
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

O Preço Ajustado é o preço ajustado pela divisão. Ações Ajustadas são as ações ajustadas pela divisão.

PACK / Ranpak Holdings Corp. Insider Trades
Vendas Internas PACK / Ranpak Holdings Corp. - Análise de Perda de Curto Prazo

Nesta seção, analisamos a evitação de perdas de curto prazo de cada venda interna de mercado aberto, não planejada feita em BAERW / Bridger Aerospace Group Holdings, Inc. - Equity Warrant. Um padrão consistente de evitação de perdas pode sugerir que transações futuras de venda possam prever declínios no preço. Esta análise é para um ano seguinte a cada transação, e os resultados são teóricos.

A tabela a seguir mostra as vendas de mercado aberto mais recentes que não faziam parte de um plano de negociação automático.

Data de Negociação Ticker Insider Ações
Reportadas
Preço
Reportado
Ações
Ajustadas
Preço
Ajustado
Base de Custos Dias para
Mín
Preço em
Mín
Máxima Perda
Evitada ($)
Máxima Perda
Evitada (%)
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

O Preço Ajustado é o preço ajustado pela divisão. Ações Ajustadas são as ações ajustadas pela divisão.

PACK / Ranpak Holdings Corp. Insider Trades
Compras Internas PRAX / Praxis Precision Medicines, Inc. - Análise de Lucro de Curto Prazo

Nesta seção, analisamos a lucratividade de cada compra interna de mercado aberto, não planejada, feita em BAERW / Bridger Aerospace Group Holdings, Inc. - Equity Warrant. Esta análise ajuda a entender se o interno gera consistentemente retornos anormais, e vale a pena seguir. Esta análise é para um ano seguinte a cada transação, e os resultados são teóricos.

A tabela a seguir mostra as compras de mercado aberto mais recentes que não faziam parte de um plano de negociação automático.

Data de Negociação Ticker Insider Ações
Reportadas
Preço
Reportado
Ações
Ajustadas
Preço
Ajustado
Base de Custos Dias para
Máx
Preço em
Máx
Lucro
Máx ($)
Retorno Máx (%)
Não há negociações abertas de mercado não planejadas conhecidas para esta combinação de insider e ativo

O Preço Ajustado é o preço ajustado pela divisão. Ações Ajustadas são as ações ajustadas pela divisão.

PRAX / Praxis Precision Medicines, Inc. Insider Trades
Vendas Internas PRAX / Praxis Precision Medicines, Inc. - Análise de Perda de Curto Prazo

Nesta seção, analisamos a evitação de perdas de curto prazo de cada venda interna de mercado aberto, não planejada feita em BAERW / Bridger Aerospace Group Holdings, Inc. - Equity Warrant. Um padrão consistente de evitação de perdas pode sugerir que transações futuras de venda possam prever declínios no preço. Esta análise é para um ano seguinte a cada transação, e os resultados são teóricos.

A tabela a seguir mostra as vendas de mercado aberto mais recentes que não faziam parte de um plano de negociação automático.

Data de Negociação Ticker Insider Ações
Reportadas
Preço
Reportado
Ações
Ajustadas
Preço
Ajustado
Base de Custos Dias para
Mín
Preço em
Mín
Máxima Perda
Evitada ($)
Máxima Perda
Evitada (%)
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

O Preço Ajustado é o preço ajustado pela divisão. Ações Ajustadas são as ações ajustadas pela divisão.

PRAX / Praxis Precision Medicines, Inc. Insider Trades
Compras Internas SD / SandRidge Energy, Inc. - Análise de Lucro de Curto Prazo

Nesta seção, analisamos a lucratividade de cada compra interna de mercado aberto, não planejada, feita em BAERW / Bridger Aerospace Group Holdings, Inc. - Equity Warrant. Esta análise ajuda a entender se o interno gera consistentemente retornos anormais, e vale a pena seguir. Esta análise é para um ano seguinte a cada transação, e os resultados são teóricos.

A tabela a seguir mostra as compras de mercado aberto mais recentes que não faziam parte de um plano de negociação automático.

Data de Negociação Ticker Insider Ações
Reportadas
Preço
Reportado
Ações
Ajustadas
Preço
Ajustado
Base de Custos Dias para
Máx
Preço em
Máx
Lucro
Máx ($)
Retorno Máx (%)
Não há negociações abertas de mercado não planejadas conhecidas para esta combinação de insider e ativo

O Preço Ajustado é o preço ajustado pela divisão. Ações Ajustadas são as ações ajustadas pela divisão.

SD / SandRidge Energy, Inc. Insider Trades
Vendas Internas SD / SandRidge Energy, Inc. - Análise de Perda de Curto Prazo

Nesta seção, analisamos a evitação de perdas de curto prazo de cada venda interna de mercado aberto, não planejada feita em BAERW / Bridger Aerospace Group Holdings, Inc. - Equity Warrant. Um padrão consistente de evitação de perdas pode sugerir que transações futuras de venda possam prever declínios no preço. Esta análise é para um ano seguinte a cada transação, e os resultados são teóricos.

A tabela a seguir mostra as vendas de mercado aberto mais recentes que não faziam parte de um plano de negociação automático.

Data de Negociação Ticker Insider Ações
Reportadas
Preço
Reportado
Ações
Ajustadas
Preço
Ajustado
Base de Custos Dias para
Mín
Preço em
Mín
Máxima Perda
Evitada ($)
Máxima Perda
Evitada (%)
Não há negociações abertas de mercado não planejadas conhecidas para esta combinação de insider e ativo

O Preço Ajustado é o preço ajustado pela divisão. Ações Ajustadas são as ações ajustadas pela divisão.

SD / SandRidge Energy, Inc. Insider Trades
Compras Internas UAN / CVR Partners, LP - Limited Partnership - Análise de Lucro de Curto Prazo

Nesta seção, analisamos a lucratividade de cada compra interna de mercado aberto, não planejada, feita em BAERW / Bridger Aerospace Group Holdings, Inc. - Equity Warrant. Esta análise ajuda a entender se o interno gera consistentemente retornos anormais, e vale a pena seguir. Esta análise é para um ano seguinte a cada transação, e os resultados são teóricos.

A tabela a seguir mostra as compras de mercado aberto mais recentes que não faziam parte de um plano de negociação automático.

Data de Negociação Ticker Insider Ações
Reportadas
Preço
Reportado
Ações
Ajustadas
Preço
Ajustado
Base de Custos Dias para
Máx
Preço em
Máx
Lucro
Máx ($)
Retorno Máx (%)
Não há negociações abertas de mercado não planejadas conhecidas para esta combinação de insider e ativo

O Preço Ajustado é o preço ajustado pela divisão. Ações Ajustadas são as ações ajustadas pela divisão.

UAN / CVR Partners, LP - Limited Partnership Insider Trades
Vendas Internas UAN / CVR Partners, LP - Limited Partnership - Análise de Perda de Curto Prazo

Nesta seção, analisamos a evitação de perdas de curto prazo de cada venda interna de mercado aberto, não planejada feita em BAERW / Bridger Aerospace Group Holdings, Inc. - Equity Warrant. Um padrão consistente de evitação de perdas pode sugerir que transações futuras de venda possam prever declínios no preço. Esta análise é para um ano seguinte a cada transação, e os resultados são teóricos.

A tabela a seguir mostra as vendas de mercado aberto mais recentes que não faziam parte de um plano de negociação automático.

Data de Negociação Ticker Insider Ações
Reportadas
Preço
Reportado
Ações
Ajustadas
Preço
Ajustado
Base de Custos Dias para
Mín
Preço em
Mín
Máxima Perda
Evitada ($)
Máxima Perda
Evitada (%)
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

O Preço Ajustado é o preço ajustado pela divisão. Ações Ajustadas são as ações ajustadas pela divisão.

UAN / CVR Partners, LP - Limited Partnership Insider Trades
Compras Internas WGSWW / GeneDx Holdings Corp. - Equity Warrant - Análise de Lucro de Curto Prazo

Nesta seção, analisamos a lucratividade de cada compra interna de mercado aberto, não planejada, feita em BAERW / Bridger Aerospace Group Holdings, Inc. - Equity Warrant. Esta análise ajuda a entender se o interno gera consistentemente retornos anormais, e vale a pena seguir. Esta análise é para um ano seguinte a cada transação, e os resultados são teóricos.

A tabela a seguir mostra as compras de mercado aberto mais recentes que não faziam parte de um plano de negociação automático.

Data de Negociação Ticker Insider Ações
Reportadas
Preço
Reportado
Ações
Ajustadas
Preço
Ajustado
Base de Custos Dias para
Máx
Preço em
Máx
Lucro
Máx ($)
Retorno Máx (%)
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

O Preço Ajustado é o preço ajustado pela divisão. Ações Ajustadas são as ações ajustadas pela divisão.

WGSWW / GeneDx Holdings Corp. - Equity Warrant Insider Trades
Vendas Internas WGSWW / GeneDx Holdings Corp. - Equity Warrant - Análise de Perda de Curto Prazo

Nesta seção, analisamos a evitação de perdas de curto prazo de cada venda interna de mercado aberto, não planejada feita em BAERW / Bridger Aerospace Group Holdings, Inc. - Equity Warrant. Um padrão consistente de evitação de perdas pode sugerir que transações futuras de venda possam prever declínios no preço. Esta análise é para um ano seguinte a cada transação, e os resultados são teóricos.

A tabela a seguir mostra as vendas de mercado aberto mais recentes que não faziam parte de um plano de negociação automático.

Data de Negociação Ticker Insider Ações
Reportadas
Preço
Reportado
Ações
Ajustadas
Preço
Ajustado
Base de Custos Dias para
Mín
Preço em
Mín
Máxima Perda
Evitada ($)
Máxima Perda
Evitada (%)
Não há negociações abertas de mercado não planejadas conhecidas para esta combinação de insider e ativo

O Preço Ajustado é o preço ajustado pela divisão. Ações Ajustadas são as ações ajustadas pela divisão.

WGSWW / GeneDx Holdings Corp. - Equity Warrant Insider Trades
Compras Internas WLKP / Westlake Chemical Partners LP - Limited Partnership - Análise de Lucro de Curto Prazo

Nesta seção, analisamos a lucratividade de cada compra interna de mercado aberto, não planejada, feita em BAERW / Bridger Aerospace Group Holdings, Inc. - Equity Warrant. Esta análise ajuda a entender se o interno gera consistentemente retornos anormais, e vale a pena seguir. Esta análise é para um ano seguinte a cada transação, e os resultados são teóricos.

A tabela a seguir mostra as compras de mercado aberto mais recentes que não faziam parte de um plano de negociação automático.

Data de Negociação Ticker Insider Ações
Reportadas
Preço
Reportado
Ações
Ajustadas
Preço
Ajustado
Base de Custos Dias para
Máx
Preço em
Máx
Lucro
Máx ($)
Retorno Máx (%)
Não há negociações abertas de mercado não planejadas conhecidas para esta combinação de insider e ativo

O Preço Ajustado é o preço ajustado pela divisão. Ações Ajustadas são as ações ajustadas pela divisão.

WLKP / Westlake Chemical Partners LP - Limited Partnership Insider Trades
Vendas Internas WLKP / Westlake Chemical Partners LP - Limited Partnership - Análise de Perda de Curto Prazo

Nesta seção, analisamos a evitação de perdas de curto prazo de cada venda interna de mercado aberto, não planejada feita em BAERW / Bridger Aerospace Group Holdings, Inc. - Equity Warrant. Um padrão consistente de evitação de perdas pode sugerir que transações futuras de venda possam prever declínios no preço. Esta análise é para um ano seguinte a cada transação, e os resultados são teóricos.

A tabela a seguir mostra as vendas de mercado aberto mais recentes que não faziam parte de um plano de negociação automático.

Data de Negociação Ticker Insider Ações
Reportadas
Preço
Reportado
Ações
Ajustadas
Preço
Ajustado
Base de Custos Dias para
Mín
Preço em
Mín
Máxima Perda
Evitada ($)
Máxima Perda
Evitada (%)
Não há negociações abertas de mercado não planejadas conhecidas para esta combinação de insider e ativo

O Preço Ajustado é o preço ajustado pela divisão. Ações Ajustadas são as ações ajustadas pela divisão.

WLKP / Westlake Chemical Partners LP - Limited Partnership Insider Trades
Histórico de Negociações Insider

Esta tabela mostra a lista completa de negociações insider realizadas por Blackstone Holdings I L.P. conforme divulgadas para a Comissão de Valores Mobiliários (SEC).

Data do Arquivo Data da Transação Formulário Ticker Ativo Código 10b5-1 Ações Ações Restantes Variação
Percentual
Preço
da Ação
Valor
da Transação
Valor
Restante
2026-05-12 3 APC ARKO Petroleum Corp.
Class A Common Stock
0
2026-05-12 3 APC ARKO Petroleum Corp.
Class A Common Stock
50,000
2026-05-12 2026-03-03 4 APC ARKO Petroleum Corp.
Class A Common Stock
S - Sale -25,000 125,000 -16.67 19.00 -475,000 2,375,000
2026-05-12 2026-02-12 4 APC ARKO Petroleum Corp.
Class A Common Stock
P - Purchase -100,000 150,000 -40.00 17.66 -1,766,000 2,649,000
2026-03-23 2026-03-20 4 NONE Blackstone Private Real Estate Credit & Income Fund
Common Shares of Beneficial Interest
P - Purchase 956,023 7,117,034 15.52 26.15 25,000,000 186,110,430
2026-03-23 2026-03-20 4 NONE Blackstone Private Real Estate Credit & Income Fund
Common Shares of Beneficial Interest
P - Purchase 1,912,046 18,628,295 11.44 26.15 50,000,000 487,129,904
2026-02-24 2026-02-23 4 NONE Blackstone Private Real Estate Credit & Income Fund
Common Shares of Beneficial Interest
P - Purchase 955,657 6,161,011 18.36 26.16 25,000,000 161,172,040
2026-02-24 2026-02-23 4 NONE Blackstone Private Real Estate Credit & Income Fund
Common Shares of Beneficial Interest
P - Purchase 191,131 16,716,249 1.16 26.16 5,000,000 437,297,066
2025-12-22 2025-12-19 4 NONE Blackstone Private Real Estate Credit & Income Fund
Common Shares of Beneficial Interest
P - Purchase 192,234 5,205,353 3.83 26.01 5,000,000 135,391,237
2025-12-22 2025-12-19 4 NONE Blackstone Private Real Estate Credit & Income Fund
Common Shares of Beneficial Interest
P - Purchase 192,234 5,205,353 3.83 26.01 5,000,000 135,391,237
2025-11-24 2025-11-21 4 NONE Blackstone Private Real Estate Credit & Income Fund
Common Shares of Beneficial Interest
P - Purchase 192,604 5,013,119 4.00 25.96 5,000,000 130,140,581
2025-11-24 2025-11-21 4 NONE Blackstone Private Real Estate Credit & Income Fund
Common Shares of Beneficial Interest
P - Purchase 192,604 5,013,119 4.00 25.96 5,000,000 130,140,581
2025-10-21 2025-10-21 4 NONE Blackstone Private Real Estate Credit & Income Fund
Common Shares of Beneficial Interest
P - Purchase 679,084 4,820,515 16.40 25.77 17,500,000 124,224,683
2025-10-21 2025-10-21 4 NONE Blackstone Private Real Estate Credit & Income Fund
Common Shares of Beneficial Interest
P - Purchase 8,634,071 16,140,279 115.03 25.77 222,500,000 415,935,001
2025-09-22 2025-09-22 4 NONE Blackstone Private Real Estate Credit & Income Fund
Common Shares of Beneficial Interest
P - Purchase 1,171,417 4,141,431 39.44 25.61 30,000,000 106,062,054
2025-09-22 2025-09-22 4 NONE Blackstone Private Real Estate Credit & Income Fund
Common Shares of Beneficial Interest
P - Purchase 1,366,654 7,506,209 22.26 25.61 35,000,000 192,234,008
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
2025-07-18 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
2025-05-20 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
2025-04-15 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
2024-04-24 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
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
2023-11-09 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
2023-01-25 3 BAER Wildfire New PubCo, Inc.
Common Stock
9,389,895
2023-01-25 3 BAER Wildfire New PubCo, Inc.
Common Stock
162,194
2023-01-25 3 BAER Wildfire New PubCo, Inc.
Common Stock
72,521
2022-12-14 2022-12-13 4 SARA SARATOGA RESOURCES INC /TX
Common Stock
J - Other -4,800,000 0 -100.00
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
2022-05-03 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
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
2021-10-25 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
2021-10-08 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
2021-08-30 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
2021-08-25 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
2021-08-13 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
2021-05-14 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 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
2021-04-05 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
2021-01-26 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
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
2020-10-05 3 NONE Blackstone Private Credit Fund
Class I Common Shares of Beneficial Interest
60
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
2020-06-03 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
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
2019-06-27 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
2019-06-11 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
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
2018-10-01 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
2018-05-14 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
2018-01-31 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
2018-01-02 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
2017-12-11 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
2017-12-04 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 WLKP Westlake Chemical Partners LP
Common Units
0
2017-10-26 3 HESM Hess Midstream Partners LP
Common Units
0
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
2017-04-13 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
2017-02-15 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
2017-01-31 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
2017-01-19 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
2017-01-13 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
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
2016-10-04 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
2016-09-12 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
2016-04-11 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
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
2015-11-04 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
2015-04-16 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
2015-02-25 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 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
2015-01-12 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
2014-04-14 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
2014-04-03 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
2014-03-03 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
2014-01-24 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
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
2013-12-12 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
2013-10-03 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
2013-09-13 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
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
2012-05-29 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
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
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
2010-12-13 2010-12-13 4 XTEX CROSSTEX ENERGY LP
Common Units
P - Purchase 31,213 80,737 63.03 14.11 440,543 1,139,530
2010-12-13 2010-12-13 4 XTEX CROSSTEX ENERGY LP
Common Units
P - Purchase 43,787 922,063 4.99 14.11 618,014 13,014,089
2010-12-13 2010-12-09 4 XTEX CROSSTEX ENERGY LP
Common Units
P - Purchase 5,410 49,524 12.26 14.17 76,661 701,770
2010-12-13 2010-12-09 4 XTEX CROSSTEX ENERGY LP
Common Units
P - Purchase 7,590 878,276 0.87 14.17 107,553 12,445,434
2010-12-01 2010-12-01 4 XTEX CROSSTEX ENERGY LP
Common Units
P - Purchase 19,144 44,114 76.67 14.02 268,334 618,328
2010-12-01 2010-12-01 4 XTEX CROSSTEX ENERGY LP
Common Units
P - Purchase 26,856 870,686 3.18 14.02 376,430 12,204,057
2010-12-01 2010-11-30 4 XTEX CROSSTEX ENERGY LP
Common Units
P - Purchase 10,404 24,970 71.43 13.95 145,093 348,229
2010-12-01 2010-11-30 4 XTEX CROSSTEX ENERGY LP
Common Units
P - Purchase 14,596 843,830 1.76 13.95 203,554 11,767,969
2010-12-01 2010-11-29 4 XTEX CROSSTEX ENERGY LP
Common Units
P - Purchase 14,566 14,566 13.89 202,323 202,323
2010-12-01 2010-11-29 4 XTEX CROSSTEX ENERGY LP
Common Units
P - Purchase 20,434 829,234 2.53 13.89 283,830 11,518,143
2010-12-01 2010-11-17 4/A XTEX CROSSTEX ENERGY LP
Common Units
P - Purchase 12,500 808,800 1.57 13.80 172,520 11,162,734
2010-11-19 2010-11-17 4 XTEX CROSSTEX ENERGY LP
Common Units
P - Purchase 5,202 5,202 13.80 71,796 71,796
2010-11-19 2010-11-17 4 XTEX CROSSTEX ENERGY LP
Common Units
P - Purchase 7,298 803,598 0.92 13.80 100,724 11,090,938
2010-06-11 2010-06-09 4 XTEX CROSSTEX ENERGY LP
Common Units
P - Purchase 24,700 776,300 3.29 10.11 249,717 7,848,393
2010-06-09 2010-06-08 4 XTEX CROSSTEX ENERGY LP
Common Units
P - Purchase 25,000 771,600 3.35 10.00 250,000 7,716,000
2010-06-09 2010-06-07 4 XTEX CROSSTEX ENERGY LP
Common Units
P - Purchase 50,000 746,600 7.18 9.91 495,500 7,398,806
2010-06-03 2010-06-02 4 XTEX CROSSTEX ENERGY LP
Common Units
P - Purchase 12,700 696,600 1.86 9.45 120,015 6,582,870
2010-06-03 2010-06-01 4 XTEX CROSSTEX ENERGY LP
Common Units
P - Purchase 50,000 683,900 7.89 9.19 459,500 6,285,041
2010-05-28 2010-05-28 4 XTEX CROSSTEX ENERGY LP
Common Units
P - Purchase 2,800 633,900 0.44 9.54 26,712 6,047,406
2010-05-28 2010-05-27 4 XTEX CROSSTEX ENERGY LP
Common Units
P - Purchase 42,100 631,100 7.15 9.24 389,004 5,831,364
2010-05-28 2010-05-26 4 XTEX CROSSTEX ENERGY LP
Common Units
P - Purchase 64,200 589,000 12.23 9.04 580,368 5,324,560
2010-05-26 2010-05-25 4 XTEX CROSSTEX ENERGY LP
Common Units
P - Purchase 54,900 524,800 11.68 8.74 479,826 4,586,752
2010-05-26 2010-05-24 4 XTEX CROSSTEX ENERGY LP
Common Units
P - Purchase 200,000 469,900 74.10 9.00 1,800,000 4,229,100
2010-05-24 2010-05-21 4 XTEX CROSSTEX ENERGY LP
Common Units
P - Purchase 200,000 269,900 286.12 8.99 1,798,000 2,426,401
2010-05-24 2010-05-20 4 XTEX CROSSTEX ENERGY LP
Common Units
P - Purchase 69,900 69,900 9.01 629,799 629,799
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
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
P
Compra de mercado aberto ou privada de ativo não-derivativo ou derivativo
S
Venda de mercado aberto ou privada de ativo não-derivativo ou derivativo
A
Concessão, premiação, ou outra aquisição de ativos da empresa (como uma opção)
C
Conversão de derivativo
D
Venda ou transferência de ativos de volta para a empresa
F
Pagamento do preço de exercício ou responsabilidade fiscal utilizando parte dos ativos recebidos da empresa
G
Doação de ativos pelo ou para o insider
K
Swaps de capital e transações de hedge similares
M
Exercício ou conversão de ativo derivativo recebido da empresa (como uma opção)
V
Uma transação voluntariamente reportada no Formulário 4
J
Outro (acompanhado de uma nota explicativa descrevendo a transação)