Positions per issuer

Only positions from 2020-01-01 are shown in the view below.

VNV Global AB (publ)

LEI code549300ONMNSTOBAU0S14
Sum percent3.05

Current positions

Position holderISINPosition in percent (%)Position datePrevious Position (%)
GSA Capital Partners LLPSE00144288350,592023-08-310,68

Historic positions

Position holderISINPosition in percent (%)Position dateFollowing position (%)
Acadian Asset Management LLCSE0014428835<0,52023-08-23
Acadian Asset Management LLCSE00144288350,582023-08-01<0,5
Acadian Asset Management LLCSE00144288350,672023-07-200,58
GSA Capital Partners LLPSE00144288350,682023-07-190,59
Acadian Asset Management LLCSE00144288350,772023-05-180,67
GSA Capital Partners LLPSE00144288350,732023-05-120,68
Acadian Asset Management LLCSE00144288350,932023-05-080,77
GSA Capital Partners LLPSE00144288350,62023-05-040,73
Acadian Asset Management LLCSE00144288350,882023-04-270,93
Acadian Asset Management LLCSE00144288350,92023-04-200,88
GSA Capital Partners LLPSE00144288350,52023-04-030,6
Capital Fund Management SASE0014428835<0,52023-03-24
Capital Fund Management SASE00144288350,572023-03-20<0,5
Capital Fund Management SASE00144288350,672023-03-150,57
Capital Fund Management SASE00144288350,772023-02-030,67
Acadian Asset Management LLCSE00144288350,882022-11-290,9
Acadian Asset Management LLCSE00144288350,92022-11-160,88
Capital Fund Management SASE00144288350,862022-11-140,77
Acadian Asset Management LLCSE00144288350,812022-10-140,9
Capital Fund Management SASE00144288350,92022-10-110,86
Acadian Asset Management LLCSE00144288350,722022-09-280,81
Capital Fund Management SASE00144288350,82022-09-280,9
Acadian Asset Management LLCSE00144288350,642022-09-220,72
MILLENNIUM INTERNATIONAL MANAGEMENT LPSE0014428835<0,52022-09-16
MILLENNIUM INTERNATIONAL MANAGEMENT LPSE00144288350,762022-09-15<0,5
Acadian Asset Management LLCSE00144288350,552022-09-140,64
Capital Fund Management SASE00144288350,712022-09-140,8
MILLENNIUM INTERNATIONAL MANAGEMENT LPSE00144288350,632022-09-130,76
MILLENNIUM INTERNATIONAL MANAGEMENT LPSE00144288350,52022-09-090,63
Capital Fund Management SASE00144288350,612022-07-140,71
Capital Fund Management SASE00144288350,512022-07-050,61
Capital Fund Management SASE0014428835<0,52022-06-210,51
Capital Fund Management SASE00144288350,52022-05-19<0,5