US698884AE30 - PAR Technology Corporation Aktier - Aktiekurs, institutionellt ägande, aktieägare

Grundläggande statistik
Institutionella ägare 3 total, 3 long only, 0 short only, 0 long/short - change of 5,66% MRQ
Genomsnittlig portföljallokering 0.2638 % - change of 6,36% MRQ
Institutionella aktier (lång) 283 851 (ex 13D/G) - change of 0,06MM shares 26,74% MRQ
Institutionellt värde (lång) $ 7 114 USD ($1000)
Institutionellt ägande och aktieägare

PAR Technology Corporation (US:US698884AE30) har 3 Institutionella ägare och aktieägare som har lämnat in 13D/G- eller 13F-formulär till Securities Exchange Commission (SEC). Dessa institut innehar totalt 283,851 aktier. Största aktieägare inkluderar Bank of New York Mellon Corp, Nomura Holdings Inc, and Alpine Global Management, LLC .

PAR Technology Corporation (US698884AE30) Institutionell ägarstruktur visar institutioners och fonders nuvarande positioner i företaget, samt de senaste förändringarna i positionernas storlek. Större aktieägare kan vara enskilda investerare, fonder, hedgefonder eller institutioner. Bilaga 13D visar att investeraren äger (eller ägde) mer än 5% av företaget och avser (eller avsåg) att aktivt eftersträva en förändring av affärsstrategin. Schedule 13G indikerar en passiv investering på över 5%.

US698884AE30 / PAR Technology Corporation - 1.5% 2027-10-15 Institutional Ownership
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13F- och NPORT-arkiveringar

Detaljer om 13F-arkiveringar är gratis. Detaljer om NP-arkiveringar kräver ett premiummedlemskap. Gröna rader indikerar nya positioner. Röda rader indikerar stängda positioner. Klicka på länk symbolen för att se hela transaktionshistoriken.

Uppgradera för att låsa upp premiumdata och exportera till Excel .

Fil Datum Källa Investerare Typ Genomsnittligt pris
(beräknat)
Aktier Δ Aktier
(%)
Rapporterat
värde
(1000 USD)
Δ Värde
(%)
Portföljallokering
(%)
2025-08-08 13F Calamos Advisors LLC 14 970 7,14
2025-08-06 13F Context Capital Management, LLC 16 088 7,15
2025-08-13 13F Silverback Asset Management Llc 8 657 7,25
2025-06-27 NP HACSX - Harbor Convertible Securities Fund Institutional Class 106 −10,26
2025-08-14 13F Goldman Sachs Group Inc 45 4 300,00
2025-08-12 13F Jpmorgan Chase & Co 2 813 3,08
2025-08-14 13F Opti Capital Management, Lp 25 410
2025-06-27 NP Calamos Convertible Opportunities & Income Fund 2 633 −9,77
2025-08-14 13F K2 Principal Fund, L.p. 4 602 −14,32
2025-08-05 13F Bank of New York Mellon Corp 200 000 0,00 225 2,75
2025-08-13 13F Oaktree Capital Management Lp 1 263 7,13
2025-05-16 13F Aristeia Capital Llc 6 429 −6,91
2025-08-13 13F Hbk Investments L P 22 896 7,40
2025-08-14 13F Lazard Asset Management Llc 14 333,33
2025-05-15 13F Capstone Investment Advisors, Llc 5 893 −6,90
2025-07-02 13F Central Pacific Bank - Trust Division 222 −9,05
2025-06-25 NP Allianzgi Convertible & Income Fund Ii 2 247 3,69
2025-08-14 13F Parallax Volatility Advisers, L.P. 6 287 7,20
2025-05-15 13F Citadel Advisors Llc 21 505 6,54
2025-08-14 13F Fmr Llc 543 7,11
2025-07-24 NP FCVSX - Fidelity Convertible Securities Fund This fund is a listed as child fund of Fmr Llc and if that institution has disclosed ownership in this security, then these positions will not be double counted when calculating total shares and total value 291 −1,36
2025-05-14 13F Camden Asset Management L P /ca 5 858 −39,81
2025-06-26 NP ICVT - iShares Convertible Bond ETF This fund is a listed as child fund of BlackRock Inc. and if that institution has disclosed ownership in this security, then these positions will not be double counted when calculating total shares and total value 2 358 −9,87
2025-05-13 13F Wellington Management Group Llp 727 −6,31
2025-06-27 NP Calamos Convertible & High Income Fund 2 633 −9,77
2025-05-15 13F Css Llc/il 2 695 225,76
2025-06-25 NP FCVT - First Trust SSI Strategic Convertible Securities ETF This fund is a listed as child fund of First Trust Advisors Lp and if that institution has disclosed ownership in this security, then these positions will not be double counted when calculating total shares and total value 254 −32,89
2025-08-04 13F Wolverine Asset Management Llc 43 722 6,83
2025-07-29 13F Calamos Wealth Management LLC 69 −13,75
2025-04-28 NP JIGDX - Global Bond Fund Class 1 17 −11,11
2025-08-14 13F Alpine Global Management, LLC 1 000 0,00 1 143 7,22
2025-07-23 NP FAAAX - Franklin K2 Alternative Strategies Fund Class A 114 442,86
2025-08-27 NP JNL SERIES TRUST - JNL Multi-Manager Alternative Fund (A) 553 212,43
2025-07-24 NP FSDIX - Fidelity Strategic Dividend & Income Fund This fund is a listed as child fund of Fmr Llc and if that institution has disclosed ownership in this security, then these positions will not be double counted when calculating total shares and total value 109 −0,91
2025-08-12 13F Proequities, Inc. 0 0
2025-08-15 13F Morgan Stanley 29 7,69
2025-07-23 NP VYGNX - Voya Global Multi-Asset Fund Class R6 1 053 −1,50
2025-04-03 13F First Hawaiian Bank 70 −27,08
2025-06-25 NP Allianzgi Diversified Income & Convertible Fund 1 694 3,55
2025-08-14 13F Ssi Investment Management Llc 4 260 1,14
2025-08-26 NP ANZAX - AllianzGI Convertible Fund Class A 12 820 11,26
2025-06-27 NP PASIX - PACE Alternative Strategies Investments Class A 73
2025-08-14 13F Linden Advisors Lp 29 618 11,51
2025-06-27 NP Calamos Strategic Total Return Fund 5 156 −9,75
2025-06-25 NP Allianzgi Equity & Convertible Income Fund 2 210 4,20
2025-08-14 13F Nomura Holdings Inc 82 851 260,83 5 747 308,17
2025-08-14 13F Voya Investment Management Llc 47 073 35,18
2025-06-27 NP Calamos Dynamic Convertible & Income Fund 2 370 −9,79
2025-06-25 NP Allianzgi Nfj Dividend, Interest & Premium Strategy Fund 2 383 4,11
2025-08-14 13F TENOR CAPITAL MANAGEMENT Co., L.P. 23 678 6,33
2025-08-22 NP CALAMOS ADVISORS TRUST/IL - Calamos Growth & Income Portfolio 81 6,67
2025-06-25 NP Allianzgi Convertible & Income Fund 2 831 3,63
2025-08-07 13F Readystate Asset Management Lp 26 407 7,15
2025-05-29 NP JAEKX - Global Bond Trust NAV 27 −7,14
2025-06-27 NP CCVIX - Calamos Convertible Fund Class A 2 897 −9,78
2025-06-27 NP CVTRX - Calamos Growth & Income Fund Class A 6 736 −9,75
2025-08-12 13F BlackRock, Inc. 2 882 20,29
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