Investor Magnetar Financial LLC
13D/G Filings

This page shows a list of all the recent 13D/G filings made by Magnetar Financial LLC . Schedule 13D is commonly referred to as a “beneficial ownership report.” The term "beneficial owner" is defined under SEC rules. It includes any person who directly or indirectly shares voting power or investment power (the power to sell the security).

When a person or group of persons acquires beneficial ownership of more than 5% of a voting class of a company’s equity securities, they are required to file a Schedule 13D within ten days after the purchase. Click the link icon to see the full transaction history.

Date Form Target Prev
Shares
Current
Shares
Change
(Percent)
Ownership
(Percent)
Change
(Percent)
2025-09-11 13D/A IMXI / International Money Express, Inc. 1,583,685 1,790,158
2025-09-02 13D IMXI / International Money Express, Inc. 1,583,685
2025-08-14 13G/A WHLR / Wheeler Real Estate Investment Trust, Inc. 64,050 118,934
2025-08-08 13G/A GSRT / GSR III Acquisition Corp. 1,410,000
2025-08-08 13G/A VACH / Voyager Acquisition Corp. 2,156,220
2025-08-08 13G SZZL / Sizzle Acquisition Corp. II 1,750,000
2025-08-08 13G LWACU / LightWave Acquisition Corp. - Debt/Equity Composite Units 1,022,800
2025-08-08 13G TACH / Titan Acquisition Corp 2,200,000
2025-08-08 13G SOUL.U / Soulpower Acquisition Corporation - Debt/Equity Composite Units 1,750,000
2025-08-08 13G TVACU / Texas Ventures Acquisition III Corp - Debt/Equity Composite Units 1,400,000
2025-08-08 13G SDHI / Siddhi Acquisition Corp. 1,750,000
2025-08-08 13G/A MBAV / M3-Brigade Acquisition V Corp. 2,117,294
2025-08-08 13G/A RANG / Range Capital Acquisition Corp. 800,000
2025-08-08 13G/A HOND / HCM II Acquisition Corp. 1,397,166
2025-08-08 13G/A 1,000,000
2025-08-08 13G PMTR / Perimeter Acquisition Corp. I 1,500,000
2025-08-08 13G OBAWU / Oxley Bridge Acquisition Limited - Debt/Equity Composite Units 1,250,000
2025-08-08 13G NPAC / New Providence Acquisition Corp. III 1,750,000
2025-08-08 13G KCHVU / Kochav Defense Acquisition Corp. - Debt/Equity Composite Units 1,900,000
2025-08-08 13G FERA / Fifth Era Acquisition Corp I 1,500,000
2025-08-08 13G/A CCIX / Churchill Capital Corp IX 1,982,756
2025-08-08 13G/A CCIR / Cohen Circle Acquisition Corp. I 860,000
2025-08-08 13G IPOD / Dune Acquisition Corporation II 850,000
2025-08-08 13G/A BROGF / Brooge Energy Limited 7,095,444 5,014,231
2025-08-08 13G CCIRU / Cohen Circle Acquisition Corp. I - Debt/Equity Composite Units 1,604,960 1,500,000
2025-08-08 13G BACCU / Blue Acquisition Corp. - Debt/Equity Composite Units 1,200,000
2025-08-06 13D/A ETWO / E2open Parent Holdings, Inc. 16,653,039 0
2025-07-24 13D/A FARO / FARO Technologies, Inc. 1,361,819 0
2025-07-23 13D/A CMTL / Comtech Telecommunications Corp. 20,352,422 20,955,989
2025-07-15 13D/A RDUS / Radius Recycling, Inc. 1,543,133 0
2025-06-16 13D ETWO / E2open Parent Holdings, Inc. 16,653,039
2025-05-15 13G/A WHLR / Wheeler Real Estate Investment Trust, Inc. 64,050
2025-05-15 13D FARO / FARO Technologies, Inc. 1,361,819
2025-05-09 13G NHICU / NewHold Investment Corp III - Debt/Equity Composite Units 1,250,000
2025-05-09 13G FERAU / Fifth Era Acquisition Corp I - Debt/Equity Composite Units 1,500,000
2025-05-09 13G RAC.U / Rithm Acquisition Corp. - Debt/Equity Composite Units 1,980,000
2025-05-09 13G/A CCIRU / Cohen Circle Acquisition Corp. I - Debt/Equity Composite Units 1,900,000 1,604,960
2025-05-09 13G LOKVU / Live Oak Acquisition Corp. V - Debt/Equity Composite Units 1,750,000
2025-05-09 13G GSHRU / Gesher Acquisition Corp. II - Debt/Equity Composite Units 900,000
2025-05-09 13G SVCCU / Stellar V Capital Corp. - Debt/Equity Composite Units 1,300,000
2025-04-16 13D RDUS / Radius Recycling, Inc. 1,543,133
2025-04-11 13D PRA / ProAssurance Corporation 3,013,195
2025-04-10 13D/A ACCD / Accolade, Inc. 5,135,671 0
2025-04-01 13G CRWV / CoreWeave, Inc. 107,962,916
2025-03-05 13D/A CMTL / Comtech Telecommunications Corp. 19,291,965 20,352,422
2025-02-14 13G/A WHLR / Wheeler Real Estate Investment Trust, Inc. 67,872 142,594
2025-01-29 13G WLACU / Willow Lane Acquisition Corp. - Debt/Equity Composite Units 1,250,000
2025-01-29 13G TDACU / Translational Development Acquisition Corp. - Debt/Equity Composite Units 1,300,000
2025-01-29 13G/A VACHU / Voyager Acquisition Corp. - Debt/Equity Composite Units 2,156,220
2025-01-29 13G RANGU / Range Capital Acquisition Corp. - Debt/Equity Composite Units 800,000
2025-01-29 13G NTWOU / Newbury Street II Acquisition Corp - Debt/Equity Composite Units 1,450,000
2025-01-29 13G MLACU / Mountain Lake Acquisition Corp. - Debt/Equity Composite Units 1,900,000
2025-01-29 13G LPBBU / Launch Two Acquisition Corp. - Debt/Equity Composite Units 1,980,000
2025-01-29 13G GSRTU / GSR III Acquisition Corp. - Debt/Equity Composite Units 1,998,000
2025-01-29 13G FACTU / FACT II Acquisition Corp - Debt/Equity Composite Units 1,061,500
2025-01-29 13G CCIRU / Cohen Circle Acquisition Corp. I - Debt/Equity Composite Units 1,900,000
2025-01-29 13G/A 7,095,444 5,630,899
2025-01-29 13G DRDBU / Roman DBDR Acquisition Corp. II - Debt/Equity Composite Units 1,000,000
2025-01-29 13G ALDFU / Aldel Financial II Inc. - Debt/Equity Composite Units 1,900,000
2025-01-27 13D/A USAP / Universal Stainless & Alloy Products, Inc. 557,729 0
2025-01-21 13D ACCD / Accolade, Inc. 5,135,671
2025-01-06 13D/A CCRN / Cross Country Healthcare, Inc. 2,324,229
2025-01-03 13D/A CCRN / Cross Country Healthcare, Inc. 2,324,229
2024-12-20 13D CCRN / Cross Country Healthcare, Inc. 1,946,934
2024-11-14 13G/A WHLR / Wheeler Real Estate Investment Trust, Inc. 67,872
2024-11-12 13D USAP / Universal Stainless & Alloy Products, Inc. 557,729
2024-11-06 13G HONDU / HCM II Acquisition Corp. - Debt/Equity Composite Units 1,960,200
2024-11-06 13G EQV.U / EQV Ventures Acquisition Corp. - Debt/Equity Composite Units 3,430,350
2024-11-06 13G 2,156,220
2024-11-06 13G LPAAU / Launch One Acquisition Corp. - Debt/Equity Composite Units 1,960,200
2024-11-06 13G CUBWU / Lionheart Holdings - Debt/Equity Composite Units 1,960,200
2024-11-06 13G MBAVU / M3-Brigade Acquisition V Corp. - Debt/Equity Composite Units 2,450,250
2024-11-06 13G VCICU / Vine Hill Capital Investment Corp. - Debt/Equity Composite Units 1,800,000
2024-11-06 13G/A HCVI / Hennessy Capital Investment Corp. VI 2,478,404 0
2024-11-06 13G GRAF.U / Graf Global Corp. - Debt/Equity Composite Units 1,633,500
2024-11-06 13G CCIXU / Churchill Capital Corp IX - Debt/Equity Composite Units 2,450,250
2024-11-06 13G/A OKLO / Oklo Inc. 1,654,623 0
2024-11-06 13G POLEU / Andretti Acquisition Corp. II - Debt/Equity Composite Units 1,400,000
2024-11-06 13G SIMAU / SIM Acquisition Corp. I - Debt/Equity Composite Units 1,960,200
2024-11-06 13G ALFUU / Centurion Acquisition Corp. - Debt/Equity Composite Units 1,856,250
2024-10-18 13D/A CMTL / Comtech Telecommunications Corp. 18,359,496 19,291,965
2024-10-15 13D/A CHUY / Chuy's Holdings, Inc. 879,373 0
2024-10-11 13D/A TELL / Tellurian Inc. 46,138,946 0
2024-09-19 13D/A SILK / Silk Road Medical, Inc 2,038,076 0
2024-09-03 13G/A CVII / Churchill Capital Corp VII 8,306,206 0
2024-08-29 13D CHUY / Chuy's Holdings, Inc. 879,373
2024-08-12 13D SILK / Silk Road Medical, Inc 2,038,076
2024-07-30 13D TELL / Tellurian Inc. 46,138,946
2024-07-03 13D/A APGTQ / Appgate, Inc. 59,250,951 0
2024-06-20 13D/A CMTL / Comtech Telecommunications Corp. 16,467,707 18,359,496
2024-05-21 13D/A SP / SP Plus Corporation 1,002,228 0
2024-05-07 13D/A APGTQ / Appgate, Inc. 55,556,367 59,250,951
2024-04-25 13D/A APGTQ / Appgate, Inc. 131,562,193 55,556,367
2024-04-03 13D/A DSKE / Daseke, Inc. 0
2024-03-11 13G/A RPT / Rithm Property Trust Inc. 1,574,999 7,750,969
2024-02-14 13D APGTQ / Appgate, Inc. 131,562,193
2024-02-14 13G/A WHLR / Wheeler Real Estate Investment Trust, Inc. 5,841,950
2024-01-31 13G/A OKLO / Oklo Inc. 3,420,300 1,654,623
2024-01-31 13G BROGF / Brooge Energy Limited 7,095,444
2024-01-31 13G/A NSTC / Northern Star Investment Corp. III 3,338,400 400,000
2024-01-31 13G/A HCVI / Hennessy Capital Investment Corp. VI 2,889,833 2,478,404
2024-01-31 13G/A NSTD / Northern Star Investment Corp. IV 3,369,836 400,000
2024-01-31 13G/A BARK / BARK, Inc. 10,595,867 6,622,098
2024-01-26 13G/A TRIS / Tristar Acquisition I Corp. 1,832,800 0
2024-01-26 13G/A SWSS / Clean Energy Special Situations Corp. 1,470,781 0
2024-01-26 13G/A ROSS / Ross Acquisition Corp II 1,906,351 0
2024-01-26 13G/A AERT / Aeries Technology, Inc 0
2024-01-26 13G/A SOAR / Volato Group, Inc. 2,256,400 0
2024-01-26 13G/A NFSCF / Enphys Acquisition Corp. 2,594,895 0
2024-01-26 13G/A IXAQF / IX Acquisition Corp. 1,963,180 0
2024-01-26 13G/A IPVF / InterPrivate III Financial Partners Inc. - Equity Warrant 135,000 0
2024-01-26 13G/A MITA / Coliseum Acquisition Corp. 1,475,134 0
2024-01-26 13G/A NBST / Newbury Street Acquisition Corporation 1,109,680 0
2024-01-25 13G/A JATT / JATT Acquisition Corp - Class A 1,153,700 0
2024-01-25 13G/A INTE / Integral Acquisition Corporation 1 751,700 0
2024-01-25 13G/A US42227R1095 / Healthwell Acquisition Corp. I, Class A 2,370,900 0
2024-01-25 13G/A CDAQ / Compass Digital Acquisition Corp. 1,929,300 0
2024-01-25 13G/A GAMC / Golden Arrow Merger Corp. 1,978,986 0
2024-01-25 13G/A CCVI / Churchill Capital Corp VI - Class A 3,119,000 0
2024-01-25 13G/A PLMJ / Plum Acquisition Corp. III 0
2024-01-25 13G/A AISP / Airship AI Holdings, Inc. 0
2024-01-25 13G/A AACI / Armada Acquisition Corp. II 1,442,398 0
2024-01-25 13G/A CNDA / Concord Acquisition Corp II 2,451,496 0
2024-01-25 13D/A CMTL / Comtech Telecommunications Corp. 3,785,398 16,467,707
2024-01-22 13D DSKE / Daseke, Inc.
2023-12-15 13D/A CMTL / Comtech Telecommunications Corp. 3,785,408 3,785,398
2023-11-24 13D SP / SP Plus Corporation 1,002,228
2023-11-13 13G/A WHLR / Wheeler Real Estate Investment Trust, Inc. 1,922,634 1,910,284
2023-10-31 13G/A CCV / Churchill Capital Corp V - Class A 1,930,212 0
2023-10-25 13G BARK / BARK, Inc. 10,595,867 10,595,867
2023-10-19 13D BARK / BARK, Inc. 2,426,041 10,595,867
2023-10-10 13D/A CMTL / Comtech Telecommunications Corp. 3,890,306 3,785,408
2023-09-25 13D/A RADI / Radius Global Infrastructure Inc - Class A 5,494,610 0
2023-09-07 13D/A QUOT / Quotient Technology Inc 5,318,060 0
2023-08-25 13D/A FORG / ForgeRock Inc - Class A 2,844,966 0
2023-08-14 13D/A 58507N105 / MedTech Acquisition Corp/NY 595,140 1,154,509
2023-07-27 13D/A 58507N105 / MedTech Acquisition Corp/NY 700,005 595,140
2023-07-20 13D QUOT / Quotient Technology Inc 5,318,060
2023-06-23 13D/A PVAC / Penn Virginia Corp. 1,015,498 0
2023-06-15 13D/A 58507N105 / MedTech Acquisition Corp/NY 1,145,833 700,005
2023-06-12 13G/A CVII / Churchill Capital Corp VII 11,059,900 8,306,206
2023-06-06 13D/A MNTV / Momentive Global Inc 7,707,761 0
2023-05-12 13D PVAC / Penn Virginia Corp. 1,015,498
2023-04-10 13G/A CCV / Churchill Capital Corp V - Class A 2,500,000 1,930,212
2023-04-06 13D MNTV / Momentive Global Inc 7,707,761
2023-03-20 13D FORG / ForgeRock Inc - Class A 2,844,966
2023-03-08 13D RADI / Radius Global Infrastructure Inc - Class A 5,494,610
2023-03-03 13D/A COWN / Cowen Inc - Class A 1,655,454 0
2023-02-09 13D/A 58507N105 / MedTech Acquisition Corp/NY 1,145,833 1,145,833
2023-02-09 13G/A 58507N105 / MedTech Acquisition Corp/NY 1,145,833 1,145,833
2023-02-09 13G/A APGTQ / Appgate, Inc. 10,982,804 10,982,804
2023-02-09 13G/A GETR / Getaround, Inc. 1,497,610
2023-02-09 13G/A WPCB / Warburg Pincus Capital Corp I B - Class A 3,818,208 3,778,950
2023-02-09 13G/A TRIS / Tristar Acquisition I Corp. 1,832,800
2023-02-09 13G/A SWSS / Clean Energy Special Situations Corp. 1,480,300 1,470,781
2023-02-09 13G/A SCAQ / Stratim Cloud Acquisition Corp - Class A 1,995,912 1,997,076
2023-02-09 13G/A US7228501042 / PINE TECHNOLOGY ACQUISITION CORP CL A 1,767,075 1,759,236
2023-02-09 13G/A US8082121042 / Schultze Special Purpose Acquisition Corp. II, Class A 1,485,000 1,485,000
2023-02-09 13G/A NSTD / Northern Star Investment Corp. IV 3,351,546 3,369,836
2023-02-09 13G/A NSTC / Northern Star Investment Corp. III 3,347,074 3,338,400
2023-02-03 13D/A VIVO / Meridian Bioscience Inc. 2,204,418 0
2023-02-02 13G/A US6514501088 / NEWHOLD INVESTMENT CORP II 1,548,574
2023-02-02 13G/A IBER / Ibere Pharmaceuticals - Class A 793,291 785,872
2023-02-02 13G/A JATT / JATT Acquisition Corp - Class A 1,184,336 1,153,700
2023-02-02 13G/A IXAQF / IX Acquisition Corp. 1,963,180
2023-02-02 13G/A CNDA / Concord Acquisition Corp II 2,457,500 2,451,496
2023-02-02 13G/A US42227R1095 / Healthwell Acquisition Corp. I, Class A 2,400,000 2,370,900
2023-02-02 13G/A TETC / Tech and Energy Transition Corp - Class A 2,243,090 2,294,493
2023-02-02 13G/A SOAR / Volato Group, Inc. 2,376,000 2,256,400
2023-02-02 13G/A CVII / Churchill Capital Corp VII 11,059,900 11,059,900
2023-02-02 13G/A HCVI / Hennessy Capital Investment Corp. VI 2,953,852 2,889,833
2023-02-02 13G/A 48284E105 / KADEM SUSTAINABLE IMPACT CORP 1,543,766 1,620,044
2023-02-02 13G/A VPCB / VPC Impact Acquisition Holdings II - Class A 2,236,427 2,225,668
2023-02-02 13G/A CIIG / CIIG Capital Partners II Inc - Class A 2,156,250 2,156,250
2023-02-02 13G/A PLMJ / Plum Acquisition Corp. III 1,975,638
2023-02-02 13G/A CCVI / Churchill Capital Corp VI - Class A 3,367,792 3,119,000
2023-02-02 13G/A CCV / Churchill Capital Corp V - Class A 2,500,000 2,500,000
2023-02-02 13G/A WWAC / Worldwide Webb Acquisition Corp - Class A 1,980,000 1,963,400
2023-02-02 13G/A KYG013221091 / AHREN ACQUISITION CO-CLASS A SPECIAL PURPOSE ACQUISITION COMPANIES 1,983,500
2023-02-02 13G/A BGSX / Build Acquisition Corp - Class A 1,601,370 1,597,603
2023-02-02 13G/A ACDI / Ascendant Digital Acquisition Corp III - Class A 2,410,800
2023-01-31 13G/A WHLR / Wheeler Real Estate Investment Trust, Inc. 1,825,188 1,922,634
2023-01-27 13G/A NFSCF / Enphys Acquisition Corp. 2,594,895
2023-01-27 13G/A IPVF / InterPrivate III Financial Partners Inc. - Equity Warrant 2,022,047 135,000
2023-01-27 13G/A BYTS / BYTE Acquisition Corp. 2,098,600 2,076,592
2023-01-27 13G/A G5462L106 / LEVERE HOLDINGS CORP-A SPECIAL PURPOSE ACQUISITION COMPANIES 1,591,900 1,566,586
2023-01-27 13G/A PIAI / Prime Impact Acquisition I - Class A 2,879,873 0
2023-01-27 13G/A US46064T1025 / InterPrivate IV InfraTech Partners, Inc., Class A 2,480,500 0
2023-01-27 13G/A NSTB / Northern Star Investment Corp. II 3,250,000 0
2023-01-27 13G/A PICC / Pivotal Investment Corp III - Class A 2,004,876 0
2023-01-27 13G/A ROSS / Ross Acquisition Corp II 2,006,580 1,906,351
2023-01-27 13G/A US36118W2017 / Future Health ESG Corp. 1,958,000 0
2023-01-27 13G/A NBST / Newbury Street Acquisition Corporation 1,098,921 1,109,680
2023-01-27 13G/A GXII / GX Acquisition Corp II - Class A 1,757,822 1,735,774
2023-01-27 13G/A GWII / Good Works II Acquisition Corp 2,010,288 0
2023-01-27 13G/A CRZN / Corazon Capital V838 Monoceros Corp - Class A 1,973,195 1,965,188
2023-01-27 13G/A INTE / Integral Acquisition Corporation 1 751,700
2023-01-27 13G/A G01202103 / AGILE GROWTH CORP 1,995,965 1,977,669
2023-01-27 13G/A MITA / Coliseum Acquisition Corp. 1,486,417 1,475,134
2023-01-27 13G/A CDAQ / Compass Digital Acquisition Corp. 1,929,300
2023-01-27 13G/A GAMC / Golden Arrow Merger Corp. 2,005,500 1,978,986
2023-01-27 13G/A AACI / Armada Acquisition Corp. II 1,476,000 1,442,398
2023-01-27 13G/A OKLO / Oklo Inc. 3,530,264 3,420,300
2023-01-24 13G/A RJAC / Jackson Acquisition Co - Class A 1,250,000 1,000,988
2023-01-24 13G/A US5537451008 / MSP RECOVERY INC 0
2023-01-24 13G/A TWND / Tailwind Acquisition Corp - Class A 1,937,916 0
2023-01-24 13G/A WPCA / Warburg Pincus Capital Corp I A - Class A 1,491,733 141,000
2023-01-24 13G/A SFR / Appreciate Holdings Inc - Class A 1,426,495 0
2023-01-24 13G/A TGAA / Target Global Acquisition I Corp. 1,100,000 700,714
2023-01-24 13G/A US90070A1034 / TUSCAN HOLDINGS CORP II 0.00000000 978,851 0
2023-01-24 13G/A 69242M104 / OYSTER ENTERPRISES-CL A 0.00000000 2,006,742 0
2023-01-24 13G/A OPA / Magnum Opus Acquisition Limited 1,014,470 942,000
2023-01-24 13G/A GAPA / G&P acquisition corp - Class A 1,604,045 0
2023-01-24 13G/A SBII / Sandbridge X2 Corp - Class A 1,490,591 0
2023-01-24 13G/A 822821104 / Shelter Acquisition Corp. I 1,647,658 0
2023-01-24 13G/A 378579106 / Glenfarne Merger Corp., Class A 2,476,469 0
2023-01-24 13G/A FVIV / Fortress Value Acquisition Corp IV - Class A 3,962,534 0
2023-01-24 13G/A PWP / Perella Weinberg Partners 1,493,979 0
2023-01-24 13G/A CNXX / CONX Corp. 3,818,133 0
2023-01-24 13G/A 001040104 / AF Acquisition Corp., Class A 1,700,523 0
2023-01-10 13D/A VIVO / Meridian Bioscience Inc. 2,173,294 2,204,418
2022-12-22 13D 58507N105 / MedTech Acquisition Corp/NY 1,704,950 1,145,833
2022-12-02 13D/A VIVO / Meridian Bioscience Inc. 2,260,688 2,173,294
2022-11-30 13D/A IRBT / iRobot Corporation 1,500,372 1,362,995
2022-11-17 13D/A ECOM / ChannelAdvisor Corp 1,738,756 0
2022-11-10 13G/A WHLR / Wheeler Real Estate Investment Trust, Inc. 1,786,068 1,825,188
2022-11-03 13D/A IRBT / iRobot Corporation 1,437,043 1,500,372
2022-11-03 13D/A CYBE / Cyberoptics Corp. 395,450 403,596
2022-11-03 13D/A COWN / Cowen Inc - Class A 1,626,807 1,655,454
2022-11-03 13D/A ECOM / ChannelAdvisor Corp 1,738,756 1,738,756
2022-11-03 13D/A VIVO / Meridian Bioscience Inc. 2,248,325 2,260,688
2022-09-23 13D ECOM / ChannelAdvisor Corp 1,738,756
2022-09-19 13D VIVO / Meridian Bioscience Inc. 2,248,325
2022-09-12 13G/A AJX / Great Ajax Corp. 5,575,000 1,574,999
2022-09-09 13D IRBT / iRobot Corporation 1,437,043
2022-08-26 13D CYBE / Cyberoptics Corp. 395,450
2022-08-12 13D COWN / Cowen Inc - Class A 1,626,807
2022-07-07 13D USAK / USA Truck, Inc. 542,355
2022-05-31 13D/A MILE / Metromile Inc 6,802,234 6,463,753
2022-05-20 13D PCOM / Points.com Inc 1,119,999
2022-05-02 13G/A CHPM / CHP Merger Corp - Class A 2,342,184 0
2022-05-02 13D ATRS / Antares Pharma Inc 13,191,998 13,191,998
2022-04-07 13G/A CHPM / CHP Merger Corp - Class A 2,342,184 2,342,184
2022-03-31 13D/A MTOR / Meritor Inc 3,602,726 3,501,926
2022-03-10 13D MTOR / Meritor Inc 3,602,726
2022-02-24 13D BDSI / Biodelivery Sciences International 6,695,999
2022-02-16 13D ECOL / US Ecology Inc. 2,060,731
2022-02-15 13G NTWN / Appgate Inc 10,982,804
2022-02-14 13G/A WHLR / Wheeler Real Estate Investment Trust, Inc. 1,761,839 1,786,068
2022-02-04 13G TRIS.U / Tristar Acquisition I Corp. Un Units, each consisting of one Class A Ordinary Share and one-half of one Redeemable Warrant to purchase one Class A Ordinary Share 1,850,000
2022-02-04 13G TGAA / Target Global Acquisition I Corp. 1,100,000
2022-02-04 13G RJAC / Jackson Acquisition Co - Class A 1,250,000
2022-02-04 13G PACI / PROOF Acquisition Corp I - Class A 2,376,000
2022-02-04 13G NFYS.U / Enphys Acquisition Corp. Units Units, each consisting of one Class A ordinary share and one-half of one redeemable warrant 2,467,363
2022-02-04 13G US6514502078 / NEWHOLD INVESTMENT CORP II 1,732,500
2022-02-04 13G IXAQ / IX Acquisition Corp. 1,974,800
2022-02-04 13G US45827K2006 / Integral Acquisition Corp. 1 750,000
2022-02-04 13G / Hennessy Capital Investment Corp. VI, Class A 2,953,852
2022-02-04 13G GWII / Good Works II Acquisition Corp 2,010,288
2022-02-04 13G CNDA / Concord Acquisition Corp II 2,457,500
2022-02-04 13G KYG013221174 / Ahren Acquisition Corp. 2,000,000
2022-01-28 13G US36118W2017 / Future Health ESG Corp. 1,958,000
2022-01-28 13G / ALPHA PARTNERS TECHNOLOGY ME 0.00000000 1,986,995
2022-01-28 13G WWAC / Worldwide Webb Acquisition Corp - Class A 1,980,000
2022-01-28 13G WPCB / Warburg Pincus Capital Corp I B - Class A 3,818,208
2022-01-28 13G VPCB / VPC Impact Acquisition Holdings II - Class A 2,236,427
2022-01-28 13G WPCA / Warburg Pincus Capital Corp I A - Class A 1,491,733
2022-01-28 13G/A TWND / Tailwind Acquisition Corp - Class A 1,937,916
2022-01-28 13G SCVX / SCVX Corp - Class A 1,154,309
2022-01-28 13G OPA / Magnum Opus Acquisition Limited 1,014,470
2022-01-28 13G US7228501042 / PINE TECHNOLOGY ACQUISITION CORP CL A 1,767,075
2022-01-28 13G NSTB / Northern Star Investment Corp. II 3,250,000
2022-01-28 13G/A 58507N105 / MedTech Acquisition Corp/NY 1,704,950
2022-01-28 13G IPVF / InterPrivate III Financial Partners Inc. - Equity Warrant 2,022,047
2022-01-28 13G LCAP / Principal Exchange-Traded Funds - Principal Capital Appreciation Select ETF 1,444,754
2022-01-28 13G PWP / Perella Weinberg Partners 1,493,979
2022-01-28 13G/A ENPC / Executive Network Partnering Corporation - Class A 2,851,250
2022-01-28 13G/A CHPM / CHP Merger Corp - Class A 2,342,184
2022-01-28 13G/A BTAQ / Burgundy Technology Acquisition Corp - Class A 2,364,110
2022-01-28 13G ACDI.U / Ascendant Digital Acquisition Units, each consisting of one Class A ordinary share and one-half of one redeemable warrant 2,475,000
2022-01-28 13G AACI / Armada Acquisition Corp. II 1,476,000
2022-01-21 13G TETC / Tech and Energy Transition Corp - Class A 2,243,090
2022-01-21 13G SWSS / Clean Energy Special Situations Corp. 1,480,300
2022-01-21 13G 822821104 / Shelter Acquisition Corp. I 1,647,658
2022-01-21 13G SCAQ / Stratim Cloud Acquisition Corp - Class A 1,995,912
2022-01-21 13G SBII / Sandbridge X2 Corp - Class A 1,490,591
2022-01-21 13G US8082121042 / Schultze Special Purpose Acquisition Corp. II, Class A 1,485,000
2022-01-21 13G ROSS / Ross Acquisition Corp II 2,006,580
2022-01-21 13G PICC / Pivotal Investment Corp III - Class A 2,004,876
2022-01-21 13G/A SFR / Appreciate Holdings Inc - Class A 1,426,495
2022-01-21 13G/A PIAI / Prime Impact Acquisition I - Class A 2,879,873
2022-01-21 13G 69242M104 / OYSTER ENTERPRISES-CL A 0.00000000 2,006,742
2022-01-21 13G NSTC / Northern Star Investment Corp. III 3,347,074
2022-01-21 13G NSTD / Northern Star Investment Corp. IV 3,351,546
2022-01-21 13G NBST / Newbury Street Acquisition Corporation 1,098,921
2022-01-21 13G MITA / Coliseum Acquisition Corp. 1,486,417
2022-01-21 13G G5462L106 / LEVERE HOLDINGS CORP-A SPECIAL PURPOSE ACQUISITION COMPANIES 1,591,900
2022-01-21 13G 48284E105 / KADEM SUSTAINABLE IMPACT CORP 1,543,766
2022-01-21 13G JATT / JATT Acquisition Corp - Class A 1,184,336
2022-01-21 13G US46064T1025 / InterPrivate IV InfraTech Partners, Inc., Class A 2,480,500
2022-01-21 13G IPVA / InterPrivate II Acquisition Corp - Class A 2,004,500
2022-01-14 13G IBER / Ibere Pharmaceuticals - Class A 793,291
2022-01-14 13G US90070A1034 / TUSCAN HOLDINGS CORP II 0.00000000 978,851
2022-01-14 13G US42227R1095 / Healthwell Acquisition Corp. I, Class A 2,400,000
2022-01-14 13G GAPA / G&P acquisition corp - Class A 1,604,045
2022-01-14 13G 378579106 / Glenfarne Merger Corp., Class A 2,476,469
2022-01-14 13G GXII / GX Acquisition Corp II - Class A 1,757,822
2022-01-14 13G / GOLDEN ARROW MERGER CORP 2,005,500
2022-01-14 13G FVIV / Fortress Value Acquisition Corp IV - Class A 3,962,534
2022-01-14 13G/A CONX / CONX Corp. 3,818,133
2022-01-14 13G CVII / Churchill Capital Corp VII 11,059,900
2022-01-14 13G CIIG / CIIG Capital Partners II Inc - Class A 2,156,250
2022-01-14 13G CDAQ / Compass Digital Acquisition Corp. 1,975,900
2022-01-14 13G CCVI / Churchill Capital Corp VI - Class A 3,367,792
2022-01-14 13G/A CCV / Churchill Capital Corp V - Class A 2,500,000
2022-01-14 13G BYTS / BYTE Acquisition Corp. 2,098,600
2022-01-14 13G ALCC / AltC Acquisition Corp. 3,530,264
2022-01-14 13G BGSX / Build Acquisition Corp - Class A 1,601,370
2022-01-14 13G G01202103 / AGILE GROWTH CORP 1,995,965
2022-01-14 13G 001040104 / AF Acquisition Corp., Class A 1,700,523
2022-01-14 13G CRZN / Corazon Capital V838 Monoceros Corp - Class A 1,973,195
2022-01-07 13G/A LCID / Lucid Group, Inc. 17,892,000 1,045,900
2022-01-07 13G/A ACHR / Archer Aviation Inc. 3,401,561 974,525
2022-01-07 13G/A OWLT / Owlet, Inc. 1,790,000 0
2022-01-07 13G/A MKTW / MarketWise, Inc. 89,134
2022-01-07 13G/A ASTS / AST SpaceMobile, Inc. 0
2022-01-07 13G/A EVLV / Evolv Technologies Holdings, Inc. 1,500,000 6,772,915
2022-01-07 13G/A SHCR / Sharecare, Inc. 2,216,257 0
2022-01-07 13G/A BARK / BARK, Inc. 2,453,000 2,426,041
2022-01-07 13G/A BKSY / BlackSky Technology Inc. 2,028,372 232,809
2022-01-07 13G/A BLDE / Strata Critical Medical, Inc. 0
2022-01-07 13G/A CEQP.PR / Crestwood Equity Partners LP Preferred Units representing limited partner interests 4,553,641 3,299,928
2022-01-07 13G/A CIFR / Cipher Mining Inc. 1,485,000 254,874
2022-01-07 13G/A SKIL / Skillsoft Corp. 0 0
2022-01-07 13G/A LVOX / LiveVox Holdings, Inc. 1,886,800 0
2022-01-07 13G/A SMFR / Sema4 Holdings Corp - Class A 2,898,231 97,021
2022-01-07 13G/A VIEW / View, Inc. 0
2021-12-20 13D/A SPWH / Sportsman's Warehouse Holdings, Inc. 2,563,040 2,166,603
2021-12-13 13D MILE / Metromile Inc 6,802,234
2021-11-16 13D/A CMTL / Comtech Telecommunications Corp. 3,890,306 3,890,306
2021-11-02 13D PAE / PAE Incorporated - Class A 4,959,998
2021-10-29 13D CMTL / Comtech Telecommunications Corp. 3,890,306
2021-10-19 13D ADMS / Adamas Pharmaceuticals Inc 3,131,937
2021-10-07 13D KRA / Kraton Corp 2,021,254
2021-09-17 13D KDMN / Kadmon Holdings Inc 9,871,249
2021-09-16 13D/A GTS / Triple-S Management Corp 1,291,540 1,665,743
2021-09-10 13G WHLR / Wheeler Real Estate Investment Trust, Inc. 1,761,839
2021-09-10 13D GTS / Triple-S Management Corp 1,291,540
2021-08-19 13D XENT / Intersect ENT Inc 2,543,999
2021-08-19 13D GNOG / Golden Nugget Online Gaming Inc - Class A 3,399,998
2021-08-16 13D TBIO / Telesis Bio, Inc. 3,972,186
2021-08-06 13D LDL / Lydall, Inc. 1,061,925
2021-07-09 13D RAVN / Raven Industries, Inc. 1,999,519
2021-07-02 13D SZY / Sykes Enterprises, Inc. 2,389,480
2021-06-30 13D/A 17K / Self Storage Group ASA 2,941,583 3,421,425
2021-06-29 13D CAI / Caris Life Sciences, Inc. 1,271,983
2021-06-25 13D 17K / Self Storage Group ASA 2,941,583
2021-06-14 13D US4989042001 / Knoll Inc 2,719,609
2021-05-21 13D FOE / Ferro Corp. 4,881,152
2021-05-18 13D/A SPWH / Sportsman's Warehouse Holdings, Inc. 3,000,332 2,563,040
2021-04-27 13D/A MGLN / Magellan Health Inc 1,373,642 1,289,081
2021-03-26 13D US3723091043 / GenMark Diagnostics, Inc 4,221,792
2021-03-15 13D US33830X1046 / Five Prime Therapeutics Inc 2,443,768
2021-03-08 13D / CRH Medical Corp. 4,920,270
2021-02-16 13G MPLN / Claritev Corporation 35,748,476
2021-02-12 13G CCV.U / Churchill Capital Corp V Units, each consisting of one share of Class A common stock, and one-fourth 2,500,000
2021-02-12 13G CEQP.PR / Crestwood Equity Partners LP Preferred Units representing limited partner interests 4,553,641 4,553,641
2021-02-12 13G/A NVCN / Neovasc Inc 1,471,104 1,471,104
2021-02-12 13G/A NRXP / NRx Pharmaceuticals, Inc. 0 0
2021-02-12 13G/A LVOX / LiveVox Holdings, Inc. 1,886,800 1,886,800
2021-02-12 13G/A / Osprey Technology Acquisition Corp. Units, each consisting of one share of Class A and 2,028,372 2,028,372
2021-02-12 13G/A THBRU / Thunder Bridge Acquisition II Ltd. 0 0
2021-02-12 13G/A SKIL / Skillsoft Corp. 0 0
2021-02-12 13G AU0000031767 / Churchill Capital Corp II Class A 0 4,999,995
2021-02-12 13G/A / Apex Technology Acquisition Corporation Unit 0 0
2021-02-12 13G/A / Experience Investment Corp. Unit 0 0
2021-02-12 13G / Experience Investment Corp 1,717,061 1,717,061
2021-02-12 13G / New Providence Acquisition Corp 1,514,943 1,514,943
2021-02-12 13G/A CHPMU / CHP Merger Corp - Units (1 Ord Class A & 1/2 War) 2,370,000 2,370,000
2021-02-12 13G/A / FinServ Acquisition Corp. Unit 0 0
2021-02-12 13G/A US12559C1036 / China Infrastructure Investment Corp 0 0
2021-02-12 13G / NewHold Investment Corp. Unit 1,500,000 1,500,000
2021-02-12 13G / Ascendant Digital Acquisition Corp. Units, each consisting of one Class A ordinary share and one-hal 3,524,000 3,524,000
2021-02-12 13G LCID / Lucid Group, Inc. 17,892,000 17,892,000
2021-02-12 13G US165183AL88 / CHESAPEAKE FUNDING II LLC CFII 2017 3A A1 144A 3,590,014 3,590,014
2021-02-12 13G TWND.U / Tailwind Acquisition Corp. Units, each consisting of one share of Class A common stock and one-half 2,917,793 2,917,793
2021-02-12 13G US66516T1043 / Northern Genesis Acquisition Corp 2,563,231 2,563,231
2021-02-12 13G BTAQU / Burgundy Technology Acquisition Corp - Units (1 Ord Class A & 1/2 War) 2,417,952 2,417,952
2021-02-12 13G KYG372881188 / Fintech Acquisition Corp. III 6,572,255 6,572,255
2021-02-12 13G / Falcon Capital Acquisition Corp. Unit 2,216,257 2,216,257
2021-02-12 13G ENPC.U / Executive Network Partnering Corporation CAPS, each consisting of one share of Class A common stock, 1,105,000 1,105,000
2021-02-12 13G OWLT / Owlet, Inc. 1,790,000 1,790,000
2021-02-12 13G SMFR / Sema4 Holdings Corp - Class A 2,898,231 2,898,231
2021-02-12 13G PIAI.U / Prime Impact Acquisition I Units, each consisting of one Class A ordinary share, and one-third of a 2,938,448 2,938,448
2021-02-12 13G BARK / BARK, Inc. 2,453,000 2,453,000
2021-02-12 13G CIFR / Cipher Mining Inc. 1,485,000 1,485,000
2021-02-12 13G / PropTech Investment Corporation II Unit 1,400,000 1,400,000
2021-02-12 13G CONXU / CONX Corp - Units (1 Ord Share Class A & 1/4 War) 4,655,000 4,655,000
2021-02-12 13G ACHR / Archer Aviation Inc. 3,401,561 3,401,561
2021-02-12 13G MTACU / MedTech Acquisition Corp - Units (1 Ord Share Class A & 1/3 War) 1,700,000 1,700,000
2021-02-12 13G/A / Apex Technology Acquisition Corporation Unit 2,000,000 0
2021-02-12 13G/A NRXP / NRx Pharmaceuticals, Inc. 465,000 0
2021-02-12 13G/A SKIL / Skillsoft Corp. 5,000,000 0
2021-02-12 13G/A US12559C1036 / China Infrastructure Investment Corp 0 0
2021-02-12 13G/A US22564L2043 / Crescent Acquisition Corp 1,750,000 1,886,800
2021-02-12 13G/A / Experience Investment Corp. Unit 2,300,001 0
2021-02-12 13G/A NVCN / Neovasc Inc 1,112,224 1,471,104
2021-02-12 13G/A BKSY / BlackSky Technology Inc. 2,000,000 2,028,372
2021-02-12 13G US6657422019 / Northern Star Acquisition Corp 2,453,000 2,453,000
2021-02-12 13G PIAI.U / Prime Impact Acquisition I Units, each consisting of one Class A ordinary share, and one-third of a 2,938,448 2,938,448
2021-02-12 13G MTACU / MedTech Acquisition Corp - Units (1 Ord Share Class A & 1/3 War) 1,700,000 1,700,000
2021-02-12 13G OWLT / Owlet, Inc. 1,790,000 1,790,000
2021-02-12 13G CONXU / CONX Corp - Units (1 Ord Share Class A & 1/4 War) 4,655,000 4,655,000
2021-02-12 13G SFR / Appreciate Holdings Inc - Class A 1,400,000
2021-02-12 13G ACHR / Archer Aviation Inc. 3,401,561 3,401,561
2021-02-12 13G / Ascendant Digital Acquisition Corp. Units, each consisting of one Class A ordinary share and one-hal 3,524,000 3,524,000
2021-02-12 13G BTAQU / Burgundy Technology Acquisition Corp - Units (1 Ord Class A & 1/2 War) 2,417,952 2,417,952
2021-02-12 13G LCID / Lucid Group, Inc. 17,892,000 17,892,000
2021-02-12 13G AU0000031767 / Churchill Capital Corp II Class A 4,999,995 4,999,995
2021-02-12 13G US15725Q1040 / CF Finance Acquisition Corp II 3,590,014
2021-02-12 13G SMFR / Sema4 Holdings Corp - Class A 2,898,231 2,898,231
2021-02-12 13G / Experience Investment Corp 1,717,061 1,717,061
2021-02-12 13G CIFR / Cipher Mining Inc. 1,485,000 1,485,000
2021-02-12 13G US66516T1043 / Northern Genesis Acquisition Corp 2,563,231 2,563,231
2021-02-12 13G / New Providence Acquisition Corp 1,514,943 1,514,943
2021-02-12 13G TWND.U / Tailwind Acquisition Corp. Units, each consisting of one share of Class A common stock and one-half 2,917,793 2,917,793
2021-02-12 13G/A THBRU / Thunder Bridge Acquisition II Ltd. 2,200,000 0
2021-02-12 13G KYG372881188 / Fintech Acquisition Corp. III 2,700,000 6,572,255
2021-02-11 13G/A CHPMW / CHP Merger Corp - Warrants (22/11/2024) 2,450,000 2,370,000
2021-02-11 13G/A / FinServ Acquisition Corp. Unit 0
2021-02-11 13G / Falcon Capital Acquisition Corp. Unit 2,216,257
2021-02-11 13G CEQP.PR / Crestwood Equity Partners LP Preferred Units representing limited partner interests 4,553,641
2021-02-11 13G ENPC.U / Executive Network Partnering Corporation CAPS, each consisting of one share of Class A common stock, 1,105,000
2021-02-11 13G EVLV / Evolv Technologies Holdings, Inc. 1,500,000
2021-02-08 13D MGLN / Magellan Health Inc 1,373,642
2021-01-29 13D / Oxford Immunotec Global PLC 1,983,076
2021-01-06 13D SPWH / Sportsman's Warehouse Holdings, Inc. 3,000,332
2020-10-29 13D US60739U2042 / MobileIron, Inc. 6,462,805
2020-10-13 13D US00163U1060 / AMAG Pharmaceuticals, Inc. 2,379,149
2020-08-31 13D / Hudson Ltd. 3,147,574
2020-08-11 13G AJX / Great Ajax Corp. 5,575,000
2020-05-21 13D/A US33812L1026 / Fitbit Inc. 11,863,158 11,785,693
2020-05-08 13D 0PP / Portola Pharmaceuticals Inc 4,106,528
2020-04-15 13D/A US58513U1016 / MeetMe, Inc. 4,004,690 3,535,151
2020-04-09 13D/A US58513U1016 / MeetMe, Inc. 5,250,673 4,004,690
2020-04-02 13D/A US33812L1026 / Fitbit Inc. 11,720,695 11,863,158
2020-03-23 13D/A US33812L1026 / Fitbit Inc. 12,773,265 11,720,695
2020-03-19 13D US58513U1016 / MeetMe, Inc. 5,250,673
2020-02-28 13D IOTS / Adesto Technologies Corporation 2,101,569
2020-02-13 13G/A NVCN / Neovasc Inc 1,112,224 1,112,224
2020-02-13 13G ID / PARTS iD, Inc. 1,963,455 1,963,455
2020-02-13 13G NRXP / NRx Pharmaceuticals, Inc. 465,000 465,000
2020-02-13 13G LVOX / LiveVox Holdings, Inc. 1,750,000 1,750,000
2020-02-13 13G / GX Acquisiton Corp. Unit 1,500,000 1,500,000
2020-02-13 13G BKSY / BlackSky Technology Inc. 2,000,000 2,000,000
2020-02-13 13G FREE / Whole Earth Brands, Inc. 1,500,000 1,500,000
2020-02-13 13G GOEV / Canoo Inc. 1,800,000 1,800,000
2020-02-13 13G THBRU / Thunder Bridge Acquisition II Ltd. 2,200,000 2,200,000
2020-02-13 13G / Haymaker Acquisition Corp. Unit 2,200,000 2,200,000
2020-02-13 13G XL / XL Fleet Corporation - Class A 1,200,000 1,200,000
2020-02-13 13G DKNG / DraftKings Inc. 2,000,000 2,000,000
2020-02-13 13G / South Mountain Merger Corp. Class A 2,227,500 2,227,500
2020-02-13 13G SKIL / Skillsoft Corp. 5,000,000 5,000,000
2020-02-13 13G / Apex Technology Acquisition Corporation Unit 2,000,000 2,000,000
2020-02-13 13G / Experience Investment Corp. Unit 2,300,001
2020-02-13 13G / PropTech Acquisition Corporation Unit 1,000,000 1,000,000
2020-02-13 13G GLEO.U / Galileo Acquisition Corp. Units, each consisting of one Ordinary Share and one Redeemable Warrant 1,025,000 1,025,000
2020-02-13 13G CHPMW / CHP Merger Corp - Warrants (22/11/2024) 2,450,000 2,450,000
2020-02-13 13G KPLT / Katapult Holdings, Inc. 1,400,000 1,400,000
2020-02-13 13G TLMD / SOC Telemed Inc - Class A 1,400,000 1,400,000
2020-02-12 13G FREE / Whole Earth Brands, Inc. 1,500,000
2020-02-12 13G / Apex Technology Acquisition Corporation Unit 2,000,000
2020-02-12 13G NRXP / NRx Pharmaceuticals, Inc. 465,000
2020-02-12 13G SKIL / Skillsoft Corp. 5,000,000
2020-02-12 13G CHPMW / CHP Merger Corp - Warrants (22/11/2024) 2,450,000
2020-02-12 13G US22564L2043 / Crescent Acquisition Corp 1,750,000
2020-02-12 13G DKNG / DraftKings Inc. 2,000,000
2020-02-12 13G / Experience Investment Corp. Unit 2,300,001
2020-02-12 13G KPLT / Katapult Holdings, Inc. 1,400,000
2020-02-12 13G GLEO.U / Galileo Acquisition Corp. Units, each consisting of one Ordinary Share and one Redeemable Warrant 1,025,000
2020-02-12 13G / GX Acquisiton Corp. Unit 1,500,000
2020-02-12 13G TLMD / SOC Telemed Inc - Class A 1,400,000
2020-02-12 13G / Haymaker Acquisition Corp. Unit 2,200,000
2020-02-12 13G GOEV / Canoo Inc. 1,800,000
2020-02-12 13G ID / PARTS iD, Inc. 1,963,455
2020-02-12 13G/A NVCN / Neovasc Inc 2,495,391 1,112,224
2020-02-12 13G XL / XL Fleet Corporation - Class A 1,200,000
2020-02-12 13G PRCH / Porch Group, Inc. 1,000,000
2020-02-12 13G / Osprey Technology Acquisition Corp. Units, each consisting of one share of Class A and 2,000,000
2020-02-12 13G BTRS / BTRS Holdings Inc - Class 1 2,227,500
2020-02-12 13G THBRU / Thunder Bridge Acquisition II Ltd. 2,200,000
2020-01-02 13D/A KEM / KraneShares Trust - KraneShares Dynamic Emerging Markets Strategy ETF 3,046,835 2,895,590
2019-12-20 13D/A CRZO / Carrizo Oil & Gas, Inc. 5,406,002 4,619,273
2019-11-27 13D KEM / KraneShares Trust - KraneShares Dynamic Emerging Markets Strategy ETF 3,046,835
2019-11-14 13D US33812L1026 / Fitbit Inc. 12,773,265
2019-09-04 13D/A US00401C1080 / Acacia Communications, Inc. 2,205,252 2,033,951
2019-08-29 13D/A PACB / Pacific Biosciences of California, Inc. 7,923,338 7,603,652
2019-08-12 13D MCRN / Milacron Holdings Corp. 4,253,315
2019-08-05 13D CRZO / Carrizo Oil & Gas, Inc. 5,406,002
2019-07-25 13D US00401C1080 / Acacia Communications, Inc. 2,205,252
2019-05-17 13D AQ / Aquantia Corp. 2,141,402
2019-05-01 13D/A LXFT / Luxoft Holding, Inc. 1,467,993 1,235,076
2019-04-30 13D/A PACB / Pacific Biosciences of California, Inc. 9,421,984 7,923,338
2019-04-26 13D/A TRCO / Tribune Media Company 4,881,561 4,358,952
2019-02-14 13G/A NVCN / Neovasc Inc 10,449,246 2,495,391
2019-02-14 13G VLDR / Velodyne Lidar Inc 2,525,000
2019-02-14 13G KYG372881188 / Fintech Acquisition Corp. III 2,700,000
2019-02-04 13D/A FNSR / Finisar Corporation 6,059,060 5,838,597
2019-01-18 13D LXFT / Luxoft Holding, Inc. 1,467,993
2019-01-11 13D/A FNSR / Finisar Corporation 5,823,496 6,059,060
2019-01-02 13D/A FNSR / Finisar Corporation 5,950,601 5,823,496
2018-12-31 13D NTRI / NutriSystem, Inc. 1,875,824
2018-12-27 13D TRCO / Tribune Media Company 4,881,561
2018-12-20 13D FNSR / Finisar Corporation 5,950,601
2018-11-16 13D PACB / Pacific Biosciences of California, Inc. 9,421,984
2018-11-13 13D ESIO / Electro Scientific Industries, Inc. 2,328,793
2018-11-01 13D ECYT / Endocyte, Inc. 5,214,176
2018-10-25 13D/A OCLR / Oclaro, Inc 8,615,308 8,486,649
2018-08-06 13D 868536103 / Supervalu, Inc. 2,530,359
2018-07-23 13D OCLR / Oclaro, Inc 8,615,308
2018-07-23 13D PHH / Park Ha Biological Technology Co., Ltd. 1,637,760
2018-07-16 13D NSC / Norfolk Southern Corporation 8,158,033
2018-07-16 13D 385002100 / Gramercy Property Trust Inc. 8,158,033
2018-07-12 13D EGC / Energy XXI Gulf Coast, Inc. 1,819,238
2018-05-14 13D/A STC / Stewart Information Services Corporation 1,321,345 1,180,006
2018-05-07 13D CBI / Chicago Bridge & Iron Co., N.V. 4,733,400
2018-04-09 13D STC / Stewart Information Services Corporation 1,321,345
2018-02-14 13G NVCN / Neovasc Inc 10,449,246
2017-06-26 13D/A KATE / Kate Spade & Company 7,062,202 6,362,202
2017-05-18 13D KATE / Kate Spade & Company 7,062,202
2016-12-20 13D/A GK / AdvisorShares Trust - AdvisorShares Gerber Kawasaki ETF 1,037,391 941,266
2016-09-19 13D GK / AdvisorShares Trust - AdvisorShares Gerber Kawasaki ETF 1,037,391
2016-07-15 13D/A LDRH / iShares Trust - iShares iBonds 1-5 Year High Yield and Income Ladder ETF 1,904,584 0
2016-07-11 13G TK / Teekay Corporation Ltd. 2,299,343 15,560,890
2016-07-11 13G TOO / Teekay Offshore Partners L.P. 2,626,947 15,560,890
2016-06-20 13D LDRH / iShares Trust - iShares iBonds 1-5 Year High Yield and Income Ladder ETF 1,904,584
2016-02-16 13G/A TK / Teekay Corporation Ltd. 2,299,343
2015-05-18 13D/A OWW / 7,254,689 2,355,690
2015-05-06 13D/A OWW / 6,270,518 7,254,689
2015-03-16 13D OWW / 6,270,518
2015-02-17 13G/A TK / Teekay Corporation Ltd. 5,838,732
2015-02-17 13G AROC / Archrock, Inc. 5,980,005
2014-07-07 13D FURX / Furiex Pharmaceuticals, Inc. 1,078,900
2014-02-14 13G TK / Teekay Corporation Ltd. 5,899,142
2012-02-14 13G/A SLRC / SLR Investment Corp. 0
2012-02-14 13G/A ARR / ARMOUR Residential REIT, Inc. 4,732,751