Positions per issuer

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

Flat Capital AB (publ)

LEI code 549300LHOWJ5TLK68326
Sum percent 0.3

Current positions

No data available in table

Historic positions

Position holder ISIN Position in percent (%) Position date Following position (%)
Voleon Capital Management LP SE0016609846 <0,5 2025-10-29
Voleon Capital Management LP SE0016609846 1,4 2025-10-03 <0,5
Voleon Capital Management LP SE0016609846 1,32 2025-10-02 1,4
Voleon Capital Management LP SE0016609846 1,24 2025-09-24 1,32
Voleon Capital Management LP SE0016609846 1,11 2025-09-22 1,24
Citadel Securities (Europe) Limited SE0016609846 <0,5 2025-09-22
Citadel Securities (Europe) Limited SE0016609846 0,66 2025-09-19 <0,5
Voleon Capital Management LP SE0016609846 0,98 2025-09-19 1,11
Citadel Securities (Europe) Limited SE0016609846 0,56 2025-09-18 0,66
Voleon Capital Management LP SE0016609846 0,78 2025-09-18 0,98
Citadel Securities (Europe) Limited SE0016609846 0,71 2025-09-17 0,56
Voleon Capital Management LP SE0016609846 0,53 2025-09-17 0,78
GUEVOURA FUND SE0016609846 <0,5 2025-07-18
GUEVOURA FUND SE0016609846 0,7 2025-07-10 <0,5
GUEVOURA FUND SE0016609846 0,69 2025-07-09 0,7
GUEVOURA FUND SE0016609846 0,98 2025-07-08 0,69
GUEVOURA FUND SE0016609846 0,95 2025-07-04 0,98
GUEVOURA FUND SE0016609846 0,94 2025-07-03 0,95
GUEVOURA FUND SE0016609846 0,88 2025-07-02 0,94
GUEVOURA FUND SE0016609846 0,65 2025-06-30 0,88
GUEVOURA FUND SE0016609846 <0,5 2024-12-12
GUEVOURA FUND SE0016609846 1,93 2024-12-09 <0,5
GUEVOURA FUND SE0016609846 1,88 2024-12-06 1,93
GUEVOURA FUND SE0016609846 1,73 2024-12-04 1,88
GUEVOURA FUND SE0016609846 1,66 2024-12-03 1,73
GUEVOURA FUND SE0016609846 1,44 2024-12-02 1,66
GUEVOURA FUND SE0016609846 1,63 2024-11-29 1,44
GUEVOURA FUND SE0016609846 1,5 2024-11-28 1,63
GUEVOURA FUND SE0016609846 1,05 2024-11-27 1,5
GUEVOURA FUND SE0016609846 <0,5 2022-03-31
GUEVOURA FUND SE0016609846 0,52 2022-03-28 <0,5