Definitive Healthcare Corp.
US ˙ NasdaqGS ˙ US24477E1038

Introduction

This page provides a comprehensive analysis of the known insider trading history of Advent International Corp/ma. Insiders are officers, directors, or significant investors in a company. It is illegal for insiders to make trades in their companies based on specific, non-public information. This does not mean it is illegal for them to make any trades in their own companies. However, they must report all trades to the SEC via a Form 4. Despite these restrictions, academic research suggests that insiders - in general - tend to outperform the market in their own companies.

Average Trade Profitability

The average trade profitability is the average return of all the open market purchases made by the insider in the last three years. To calculate this, we examine every open-market, unplanned purchase made by the insider, excluding all trades that were marked as part of a 10b5-1 trading plan. We then calculate the average performance of those trades over 3, 6, and 12 months, averaging each of those durations to generate a final performance metric for each trade. Finally, we average all of the performance metrics to calculate a performance metric for the insider. This list only includes insiders that have made at least three trades in the last two years.

If this insiders trade profitability is "N/A", then the insider either has not made any open-market purchases in the last three years, or the trades they’ve made are too recent to calculate a reliable performance metric.

Update Frequency: Daily

See the list of most profitable insider traders.

Companies with Reported Insider Positions

The SEC filings indicate Advent International Corp/ma has reported holdings or trades in the following companies:

Security Title Latest Reported Holdings
US:FWRG / First Watch Restaurant Group, Inc. 10% Owner 9,689,784
US:CCCS / CCC Intelligent Solutions Holdings Inc. Director 9,084,247
Director, 10% Owner 162,560,691
US:SOVO / Sovos Brands, Inc. Director, 10% Owner 0
US:ATIP / ATI Physical Therapy, Inc. 10% Owner 560,979
US:DH / Definitive Healthcare Corp. Director, 10% Owner 62,493,676
US:OLPX / Olaplex Holdings, Inc. Director, 10% Owner 499,468,771
US:SYNH / Syneos Health Inc - Class A 10% Owner 0
US:WAAS / AquaVenture Holdings Limited 10% Owner 100
US:BOJA / Bojangles, Inc. 10% Owner 0
US:COTV / Cotiviti Holdings, Inc. 10% Owner 0
US:LULU / lululemon athletica inc. 10% Owner 10,105,279
US:PRTY / Party City Holdco Inc 10% Owner 0
US:NCSM / NCS Multistage Holdings, Inc. 10% Owner 29,568,536
US:TRU / TransUnion 10% Owner 15,707,314
US:FIVE / Five Below, Inc. 0
US:VNTV / Vantiv, Inc. 0
US:WAGE / WageWorks Inc. 472,736
US:AEGR / Aegerion Pharmaceuticals, Inc. 2,457,879
How to Interpret the Charts

The following charts show the stock performance of securities subsequent to each open-market, non-planned trade made by Advent International Corp/ma. Non-planned trade are trades that were not made as part of a 10b5-1 trading plan. The stock performance is charted as cumulative percent change in share price. For example, if an insider trade was made on January 1, 2019, the chart will show the daily percent change of the security to the present day. If the share price were to go from $10 to $15 during this time, the cumulative percent change in share price would be 50%. A change in price from $10 to $20 would be 100%, and a change in price of $10 to $5 would be -50%.

Ultimately, we are trying to determine how closely the insider’s trades correlate to excess returns (positive or negative) in the share price in order to see if the insider is timing their trades to profit from insider information. Consider the situation where an insider was doing this. In this situation, we would expect either (a) positive returns after purchases, or (b) negative returns after sales. In the case of (a), the PURCHASE chart would show a series of upwardly sloping curves, indicating positive returns after each purchase transaction. In the case of (b), the SALE chart would show a series of downward sloping curves, indicating negative returns after each sale transaction.

However, this alone is not enough to draw conclusions. If, for example, the share price of the company was in a non-cyclical climb over many years, then we would expect all the post-purchase plots to be upwardly sloping. Likewise, non-cyclical declines over many years would result in downward sloping post-trade plots. Neither of these charts would suggest insider trading activity.

The strongest indicator would be a situation where the share price was extremely cyclical, and there were both positive signals in the PURCHASE chart and negative plots on the SALE chart. This situation would be highly suggestive of an insider that was timing trades to their financial advantage.

Insider Purchases DH / Definitive Healthcare Corp. - Short Term Profit Analysis

In this section, we analyze the profitability of every unplanned, open-market insider purchase made in DH / Definitive Healthcare Corp.. This analysis helps to understand if the insider consistently generates abnormal returns, and is worth following. This analysis is for one-year following each trade, and the results are theoretical.

The following table shows the most recent open market purchases that were not part of an automatic trading plan.

Trade Date Ticker Insider Reported
Shares
Reported
Price
Adjusted
Shares
Adjusted
Price
Cost Basis Days to
Max
Price at
Max
Max
Profit ($)
Max Return (%)
There are no known unplanned open-market trades for this insider and security combination

Adjusted Price is the split-adjusted price. Adjusted Shares is the split-adjusted shares.

DH / Definitive Healthcare Corp. Insider Trades
Insider Sales DH / Definitive Healthcare Corp. - Short Term Loss Analysis

In this section, we analyze the short-term loss avoidance of every unplanned, open-market insider sale made in DH / Definitive Healthcare Corp.. A consistent pattern of loss avoidance may suggest that future sale transactions may predict declines in price. This analysis is for one-year following each trade, and the results are theoretical.

The following table shows the most recent open market sales that were not part of an automatic trading plan.

Trade Date Ticker Insider Reported
Shares
Reported
Price
Adjusted
Shares
Adjusted
Price
Cost Basis Days to
Min
Price at
Min
Max Loss
Avoided ($)
Max Loss
Avoided (%)
There are no known unplanned open-market trades for this insider and security combination

Adjusted Price is the split-adjusted price. Adjusted Shares is the split-adjusted shares.

DH / Definitive Healthcare Corp. Insider Trades
Insider Purchases FIVE / Five Below, Inc. - Short Term Profit Analysis

In this section, we analyze the profitability of every unplanned, open-market insider purchase made in DH / Definitive Healthcare Corp.. This analysis helps to understand if the insider consistently generates abnormal returns, and is worth following. This analysis is for one-year following each trade, and the results are theoretical.

The following table shows the most recent open market purchases that were not part of an automatic trading plan.

Trade Date Ticker Insider Reported
Shares
Reported
Price
Adjusted
Shares
Adjusted
Price
Cost Basis Days to
Max
Price at
Max
Max
Profit ($)
Max Return (%)
There are no known unplanned open-market trades for this insider and security combination

Adjusted Price is the split-adjusted price. Adjusted Shares is the split-adjusted shares.

FIVE / Five Below, Inc. Insider Trades
Insider Sales FIVE / Five Below, Inc. - Short Term Loss Analysis

In this section, we analyze the short-term loss avoidance of every unplanned, open-market insider sale made in DH / Definitive Healthcare Corp.. A consistent pattern of loss avoidance may suggest that future sale transactions may predict declines in price. This analysis is for one-year following each trade, and the results are theoretical.

The following table shows the most recent open market sales that were not part of an automatic trading plan.

Trade Date Ticker Insider Reported
Shares
Reported
Price
Adjusted
Shares
Adjusted
Price
Cost Basis Days to
Min
Price at
Min
Max Loss
Avoided ($)
Max Loss
Avoided (%)
There are no known unplanned open-market trades for this insider and security combination

Adjusted Price is the split-adjusted price. Adjusted Shares is the split-adjusted shares.

FIVE / Five Below, Inc. Insider Trades
Insider Purchases FWRG / First Watch Restaurant Group, Inc. - Short Term Profit Analysis

In this section, we analyze the profitability of every unplanned, open-market insider purchase made in DH / Definitive Healthcare Corp.. This analysis helps to understand if the insider consistently generates abnormal returns, and is worth following. This analysis is for one-year following each trade, and the results are theoretical.

The following table shows the most recent open market purchases that were not part of an automatic trading plan.

Trade Date Ticker Insider Reported
Shares
Reported
Price
Adjusted
Shares
Adjusted
Price
Cost Basis Days to
Max
Price at
Max
Max
Profit ($)
Max Return (%)
There are no known unplanned open-market trades for this insider and security combination

Adjusted Price is the split-adjusted price. Adjusted Shares is the split-adjusted shares.

FWRG / First Watch Restaurant Group, Inc. Insider Trades
Insider Sales FWRG / First Watch Restaurant Group, Inc. - Short Term Loss Analysis

In this section, we analyze the short-term loss avoidance of every unplanned, open-market insider sale made in DH / Definitive Healthcare Corp.. A consistent pattern of loss avoidance may suggest that future sale transactions may predict declines in price. This analysis is for one-year following each trade, and the results are theoretical.

The following table shows the most recent open market sales that were not part of an automatic trading plan.

Trade Date Ticker Insider Reported
Shares
Reported
Price
Adjusted
Shares
Adjusted
Price
Cost Basis Days to
Min
Price at
Min
Max Loss
Avoided ($)
Max Loss
Avoided (%)
2025-08-08 FWRG ADVENT INTERNATIONAL CORP/MA 5,000,000 17.7000 5,000,000 17.7000 88,500,000 10 17.2500 -2,250,000 -2.54
2025-06-03 FWRG ADVENT INTERNATIONAL CORP/MA 4,500,000 14.7000 4,500,000 14.7000 66,150,000
2024-11-13 FWRG ADVENT INTERNATIONAL CORP/MA 8,000,000 19.7600 8,000,000 19.7600 158,080,000
2024-03-12 FWRG ADVENT INTERNATIONAL CORP/MA 6,900,000 23.9900 6,900,000 23.9900 165,531,000
2023-05-18 FWRG ADVENT INTERNATIONAL CORP/MA 4,025,000 15.4700 4,025,000 15.4700 62,266,750

Adjusted Price is the split-adjusted price. Adjusted Shares is the split-adjusted shares.

FWRG / First Watch Restaurant Group, Inc. Insider Trades
Insider Purchases NCSM / NCS Multistage Holdings, Inc. - Short Term Profit Analysis

In this section, we analyze the profitability of every unplanned, open-market insider purchase made in DH / Definitive Healthcare Corp.. This analysis helps to understand if the insider consistently generates abnormal returns, and is worth following. This analysis is for one-year following each trade, and the results are theoretical.

The following table shows the most recent open market purchases that were not part of an automatic trading plan.

Trade Date Ticker Insider Reported
Shares
Reported
Price
Adjusted
Shares
Adjusted
Price
Cost Basis Days to
Max
Price at
Max
Max
Profit ($)
Max Return (%)
There are no known unplanned open-market trades for this insider and security combination

Adjusted Price is the split-adjusted price. Adjusted Shares is the split-adjusted shares.

NCSM / NCS Multistage Holdings, Inc. Insider Trades
Insider Sales NCSM / NCS Multistage Holdings, Inc. - Short Term Loss Analysis

In this section, we analyze the short-term loss avoidance of every unplanned, open-market insider sale made in DH / Definitive Healthcare Corp.. A consistent pattern of loss avoidance may suggest that future sale transactions may predict declines in price. This analysis is for one-year following each trade, and the results are theoretical.

The following table shows the most recent open market sales that were not part of an automatic trading plan.

Trade Date Ticker Insider Reported
Shares
Reported
Price
Adjusted
Shares
Adjusted
Price
Cost Basis Days to
Min
Price at
Min
Max Loss
Avoided ($)
Max Loss
Avoided (%)
There are no known unplanned open-market trades for this insider and security combination

Adjusted Price is the split-adjusted price. Adjusted Shares is the split-adjusted shares.

NCSM / NCS Multistage Holdings, Inc. Insider Trades
Insider Purchases OLPX / Olaplex Holdings, Inc. - Short Term Profit Analysis

In this section, we analyze the profitability of every unplanned, open-market insider purchase made in DH / Definitive Healthcare Corp.. This analysis helps to understand if the insider consistently generates abnormal returns, and is worth following. This analysis is for one-year following each trade, and the results are theoretical.

The following table shows the most recent open market purchases that were not part of an automatic trading plan.

Trade Date Ticker Insider Reported
Shares
Reported
Price
Adjusted
Shares
Adjusted
Price
Cost Basis Days to
Max
Price at
Max
Max
Profit ($)
Max Return (%)
There are no known unplanned open-market trades for this insider and security combination

Adjusted Price is the split-adjusted price. Adjusted Shares is the split-adjusted shares.

OLPX / Olaplex Holdings, Inc. Insider Trades
Insider Sales OLPX / Olaplex Holdings, Inc. - Short Term Loss Analysis

In this section, we analyze the short-term loss avoidance of every unplanned, open-market insider sale made in DH / Definitive Healthcare Corp.. A consistent pattern of loss avoidance may suggest that future sale transactions may predict declines in price. This analysis is for one-year following each trade, and the results are theoretical.

The following table shows the most recent open market sales that were not part of an automatic trading plan.

Trade Date Ticker Insider Reported
Shares
Reported
Price
Adjusted
Shares
Adjusted
Price
Cost Basis Days to
Min
Price at
Min
Max Loss
Avoided ($)
Max Loss
Avoided (%)
2021-10-08 OLPX ADVENT INTERNATIONAL CORP/MA 10,306,655 19.8975 10,306,655 19.8975 205,076,668 364 9.1400 -110,873,840 -54.06
2021-10-04 OLPX ADVENT INTERNATIONAL CORP/MA 68,711,029 19.8975 68,711,029 19.8975 1,367,177,700

Adjusted Price is the split-adjusted price. Adjusted Shares is the split-adjusted shares.

OLPX / Olaplex Holdings, Inc. Insider Trades
Insider Purchases TRU / TransUnion - Short Term Profit Analysis

In this section, we analyze the profitability of every unplanned, open-market insider purchase made in DH / Definitive Healthcare Corp.. This analysis helps to understand if the insider consistently generates abnormal returns, and is worth following. This analysis is for one-year following each trade, and the results are theoretical.

The following table shows the most recent open market purchases that were not part of an automatic trading plan.

Trade Date Ticker Insider Reported
Shares
Reported
Price
Adjusted
Shares
Adjusted
Price
Cost Basis Days to
Max
Price at
Max
Max
Profit ($)
Max Return (%)
There are no known unplanned open-market trades for this insider and security combination

Adjusted Price is the split-adjusted price. Adjusted Shares is the split-adjusted shares.

TRU / TransUnion Insider Trades
Insider Sales TRU / TransUnion - Short Term Loss Analysis

In this section, we analyze the short-term loss avoidance of every unplanned, open-market insider sale made in DH / Definitive Healthcare Corp.. A consistent pattern of loss avoidance may suggest that future sale transactions may predict declines in price. This analysis is for one-year following each trade, and the results are theoretical.

The following table shows the most recent open market sales that were not part of an automatic trading plan.

Trade Date Ticker Insider Reported
Shares
Reported
Price
Adjusted
Shares
Adjusted
Price
Cost Basis Days to
Min
Price at
Min
Max Loss
Avoided ($)
Max Loss
Avoided (%)
2017-05-02 TRU ADVENT INTERNATIONAL CORP/MA 11,027,445 39.1500 11,027,445 39.1500 431,724,472 1 39.9300 8,601,408 1.99
2017-03-22 TRU ADVENT INTERNATIONAL CORP/MA 992,500 36.5700 992,500 36.5700 36,295,725
2017-02-22 TRU ADVENT INTERNATIONAL CORP/MA 9,730,500 36.5700 9,730,500 36.5700 355,844,385
2016-09-14 TRU ADVENT INTERNATIONAL CORP/MA 7,906,000 32.8200 7,906,000 32.8200 259,474,920
2016-06-10 TRU ADVENT INTERNATIONAL CORP/MA 18,000,000 31.2500 18,000,000 31.2500 562,500,000

Adjusted Price is the split-adjusted price. Adjusted Shares is the split-adjusted shares.

TRU / TransUnion Insider Trades
Insider Trading History

This table shows the complete list of insider trades made by Advent International Corp/ma as disclosed to the Securities Exchange Commission (SEC).

File Date Tran Date Form Ticker Security Code 10b5-1 Shares Remaining Shares Percent
Change
Share
Price
Tran
Value
Remaining
Value
2025-08-12 2025-08-08 4 FWRG First Watch Restaurant Group, Inc.
Common Stock
S - Sale -5,000,000 9,689,784 -34.04 17.70 -88,500,000 171,509,177
2025-08-08 2025-08-07 4 CCCS CCC Intelligent Solutions Holdings Inc.
Common Stock
S - Sale -7,298,044 9,084,247 -44.55 9.87 -72,042,641 89,675,144
2025-08-08 2025-08-07 4 CCCS CCC Intelligent Solutions Holdings Inc.
Common Stock
S - Sale -695,999 866,345 -44.55 9.87 -6,870,554 8,552,125
2025-08-08 2025-08-07 4 CCCS CCC Intelligent Solutions Holdings Inc.
Common Stock
S - Sale -22,005,957 27,391,934 -44.55 9.87 -217,231,805 270,399,476
2025-07-23 3 NIQ NIQ Global Intelligence plc
Ordinary Shares
162,560,691
2025-06-05 2025-06-03 4 FWRG First Watch Restaurant Group, Inc.
Common Stock
S - Sale -4,500,000 14,689,784 -23.45 14.70 -66,150,000 215,939,825
2025-05-22 2025-05-20 4 CCCS CCC Intelligent Solutions Holdings Inc.
Common Stock
S - Sale -7,298,044 16,382,291 -30.82 9.08 -66,266,240 148,751,202
2025-05-22 2025-05-20 4 CCCS CCC Intelligent Solutions Holdings Inc.
Common Stock
S - Sale -695,999 1,562,344 -30.82 9.08 -6,319,671 14,186,084
2025-05-22 2025-05-20 4 CCCS CCC Intelligent Solutions Holdings Inc.
Common Stock
S - Sale -22,005,957 49,397,891 -30.82 9.08 -199,814,090 448,532,850
2025-03-04 2025-03-03 4 CCCS CCC Intelligent Solutions Holdings Inc.
Common Stock
S - Sale -10,217,254 23,680,335 -30.14 10.32 -105,493,148 244,499,459
2025-03-04 2025-03-03 4 CCCS CCC Intelligent Solutions Holdings Inc.
Common Stock
S - Sale -974,378 2,258,343 -30.14 10.32 -10,060,453 23,317,391
2025-03-04 2025-03-03 4 CCCS CCC Intelligent Solutions Holdings Inc.
Common Stock
S - Sale -30,808,368 71,403,848 -30.14 10.32 -318,096,400 737,244,731
2024-11-15 2024-11-13 4 FWRG First Watch Restaurant Group, Inc.
Common Stock
S - Sale -8,000,000 19,189,784 -29.42 19.76 -158,080,000 379,190,132
2024-07-01 2024-07-01 4 CCCS CCC Intelligent Solutions Holdings Inc.
Common Stock
S - Sale -6,075,328 33,897,589 -15.20 11.30 -68,645,131 383,008,858
2024-07-01 2024-07-01 4 CCCS CCC Intelligent Solutions Holdings Inc.
Common Stock
S - Sale -579,391 3,232,721 -15.20 11.30 -6,546,539 36,526,515
2024-07-01 2024-07-01 4 CCCS CCC Intelligent Solutions Holdings Inc.
Common Stock
S - Sale -18,319,076 102,212,216 -15.20 11.30 -206,987,240 1,154,895,829
2024-06-03 2024-05-30 4 CCCS CCC Intelligent Solutions Holdings Inc.
Common Stock
S - Sale -10,125,546 39,972,917 -20.21 11.43 -115,734,991 456,890,441
2024-06-03 2024-05-30 4 CCCS CCC Intelligent Solutions Holdings Inc.
Common Stock
S - Sale -965,651 3,812,112 -20.21 11.43 -11,037,391 43,572,440
2024-06-03 2024-05-30 4 CCCS CCC Intelligent Solutions Holdings Inc.
Common Stock
S - Sale -30,531,795 120,531,292 -20.21 11.43 -348,978,417 1,377,672,668
2024-04-11 2024-04-09 4 CCCS CCC Intelligent Solutions Holdings Inc.
Common Stock
S - Sale -4,050,218 50,098,463 -7.48 11.58 -46,881,273 579,889,709
2024-04-11 2024-04-09 4 CCCS CCC Intelligent Solutions Holdings Inc.
Common Stock
S - Sale -386,259 4,777,763 -7.48 11.58 -4,470,948 55,302,607
2024-04-11 2024-04-09 4 CCCS CCC Intelligent Solutions Holdings Inc.
Common Stock
S - Sale -12,212,720 151,063,087 -7.48 11.58 -141,362,234 1,748,555,232
2024-03-14 2024-03-12 4 FWRG First Watch Restaurant Group, Inc.
Common Stock
S - Sale -6,900,000 27,189,784 -20.24 23.99 -165,531,000 652,282,918
2024-03-14 2024-03-12 4 FWRG First Watch Restaurant Group, Inc.
Common Stock
S - Sale -6,900,000 27,189,784 -20.24 23.99 -165,531,000 652,282,918
2024-03-14 2024-03-12 4 FWRG First Watch Restaurant Group, Inc.
Common Stock
S - Sale -6,900,000 27,189,784 -20.24 23.99 -165,531,000 652,282,918
2024-03-14 2024-03-12 4 SOVO Sovos Brands, Inc.
Common Stock
D - Sale to Issuer -43,361,053 0 -100.00 23.00 -997,304,219
2024-03-14 2024-03-12 4 SOVO Sovos Brands, Inc.
Common Stock
D - Sale to Issuer -43,361,053 0 -100.00 23.00 -997,304,219
2024-03-14 2024-03-12 4 SOVO Sovos Brands, Inc.
Common Stock
D - Sale to Issuer -43,361,053 0 -100.00 23.00 -997,304,219
2024-03-06 2024-03-04 4 CCCS CCC Intelligent Solutions Holdings Inc.
Common Stock
S - Sale -10,014,164 54,148,681 -15.61 11.33 -113,460,478 613,504,556
2024-03-06 2024-03-04 4 CCCS CCC Intelligent Solutions Holdings Inc.
Common Stock
S - Sale -955,026 5,164,022 -15.61 11.33 -10,820,445 58,508,369
2024-03-06 2024-03-04 4 CCCS CCC Intelligent Solutions Holdings Inc.
Common Stock
S - Sale -30,195,949 163,275,807 -15.61 11.33 -342,120,102 1,849,914,893
2024-01-10 2024-01-08 4 CCCS CCC Intelligent Solutions Holdings Inc.
Common Stock
S - Sale -5,351,898 64,162,845 -7.70 10.47 -56,034,372 671,784,987
2024-01-10 2024-01-08 4 CCCS CCC Intelligent Solutions Holdings Inc.
Common Stock
S - Sale -510,399 6,119,048 -7.70 10.47 -5,343,878 64,066,433
2024-01-10 2024-01-08 4 CCCS CCC Intelligent Solutions Holdings Inc.
Common Stock
S - Sale -16,137,703 193,471,756 -7.70 10.47 -168,961,750 2,025,649,285
2023-11-15 2023-11-13 4 CCCS CCC Intelligent Solutions Holdings Inc.
Common Stock
S - Sale -500,000 0 -100.00 10.11 -5,053,150
2023-11-15 2023-11-13 4 CCCS CCC Intelligent Solutions Holdings Inc.
Common Stock
S - Sale -16,876,723 69,514,743 -19.54 10.11 -170,561,226 702,536,847
2023-11-15 2023-11-13 4 CCCS CCC Intelligent Solutions Holdings Inc.
Common Stock
S - Sale -1,609,497 6,629,447 -19.54 10.11 -16,266,060 66,999,180
2023-11-15 2023-11-13 4 CCCS CCC Intelligent Solutions Holdings Inc.
Common Stock
S - Sale -50,888,780 209,609,459 -19.54 10.11 -514,297,277 2,118,376,075
2023-11-15 2023-11-13 4 CCCS CCC Intelligent Solutions Holdings Inc.
Common Stock
S - Sale -500,000 0 -100.00 10.11 -5,053,150
2023-11-15 2023-11-13 4 CCCS CCC Intelligent Solutions Holdings Inc.
Common Stock
S - Sale -16,876,723 69,514,743 -19.54 10.11 -170,561,226 702,536,847
2023-11-15 2023-11-13 4 CCCS CCC Intelligent Solutions Holdings Inc.
Common Stock
S - Sale -1,609,497 6,629,447 -19.54 10.11 -16,266,060 66,999,180
2023-11-15 2023-11-13 4 CCCS CCC Intelligent Solutions Holdings Inc.
Common Stock
S - Sale -50,888,780 209,609,459 -19.54 10.11 -514,297,277 2,118,376,075
2023-07-06 2023-07-03 4 FWRG First Watch Restaurant Group, Inc.
Common Stock
S - Sale -450,000 34,089,784 -1.30 16.42 -7,390,800 559,890,612
2023-07-06 2023-07-03 4 FWRG First Watch Restaurant Group, Inc.
Common Stock
S - Sale -450,000 34,089,784 -1.30 16.42 -7,390,800 559,890,612
2023-07-06 2023-07-03 4 FWRG First Watch Restaurant Group, Inc.
Common Stock
S - Sale -450,000 34,089,784 -1.30 16.42 -7,390,800 559,890,612
2023-06-15 2023-06-13 4 FWRG First Watch Restaurant Group, Inc.
Common Stock
S - Sale -3,000,000 34,539,784 -7.99 16.42 -49,272,000 567,281,412
2023-06-15 2023-06-13 4 FWRG First Watch Restaurant Group, Inc.
Common Stock
S - Sale -3,000,000 34,539,784 -7.99 16.42 -49,272,000 567,281,412
2023-06-15 2023-06-13 4 FWRG First Watch Restaurant Group, Inc.
Common Stock
S - Sale -3,000,000 34,539,784 -7.99 16.42 -49,272,000 567,281,412
2023-05-22 2023-05-18 4 FWRG First Watch Restaurant Group, Inc.
Common Stock
S - Sale -4,025,000 37,539,784 -9.68 15.47 -62,266,750 580,740,458
2023-05-22 2023-05-18 4 FWRG First Watch Restaurant Group, Inc.
Common Stock
S - Sale -4,025,000 37,539,784 -9.68 15.47 -62,266,750 580,740,458
2023-05-22 2023-05-18 4 FWRG First Watch Restaurant Group, Inc.
Common Stock
S - Sale -4,025,000 37,539,784 -9.68 15.47 -62,266,750 580,740,458
2023-05-19 2023-05-19 4 SOVO Sovos Brands, Inc.
Common Stock
S - Sale -1,500,000 44,764,243 -3.24 17.30 -25,950,000 774,421,404
2023-05-19 2023-05-17 4 SOVO Sovos Brands, Inc.
Common Stock
S - Sale -9,650,000 46,264,243 -17.26 17.30 -166,945,000 800,371,404
2023-05-19 2023-05-19 4 SOVO Sovos Brands, Inc.
Common Stock
S - Sale -1,500,000 44,764,243 -3.24 17.30 -25,950,000 774,421,404
2023-05-19 2023-05-17 4 SOVO Sovos Brands, Inc.
Common Stock
S - Sale -9,650,000 46,264,243 -17.26 17.30 -166,945,000 800,371,404
2023-05-19 2023-05-19 4 SOVO Sovos Brands, Inc.
Common Stock
S - Sale -1,500,000 44,764,243 -3.24 17.30 -25,950,000 774,421,404
2023-05-19 2023-05-17 4 SOVO Sovos Brands, Inc.
Common Stock
S - Sale -9,650,000 46,264,243 -17.26 17.30 -166,945,000 800,371,404
2022-10-11 2022-10-06 4 FWRG First Watch Restaurant Group, Inc.
Common Stock
S - Sale -675,000 41,564,784 -1.60 14.80 -9,991,688 615,262,715
2022-10-11 2022-10-06 4 FWRG First Watch Restaurant Group, Inc.
Common Stock
S - Sale -675,000 41,564,784 -1.60 14.80 -9,991,688 615,262,715
2022-10-11 2022-10-06 4 FWRG First Watch Restaurant Group, Inc.
Common Stock
S - Sale -675,000 41,564,784 -1.60 14.80 -9,991,688 615,262,715
2022-09-21 2022-09-19 4 FWRG First Watch Restaurant Group, Inc.
Common Stock
S - Sale -4,500,000 42,239,784 -9.63 14.80 -66,611,250 625,254,403
2022-09-21 2022-09-19 4 FWRG First Watch Restaurant Group, Inc.
Common Stock
S - Sale -4,500,000 42,239,784 -9.63 14.80 -66,611,250 625,254,403
2022-09-21 2022-09-19 4 FWRG First Watch Restaurant Group, Inc.
Common Stock
S - Sale -4,500,000 42,239,784 -9.63 14.80 -66,611,250 625,254,403
2022-08-24 2022-08-22 4 SOVO Sovos Brands, Inc.
Common Stock
S - Sale -1,275,000 56,265,129 -2.22 13.37 -17,046,750 752,264,775
2022-08-24 2022-08-22 4 SOVO Sovos Brands, Inc.
Common Stock
S - Sale -1,275,000 56,265,129 -2.22 13.37 -17,046,750 752,264,775
2022-08-24 2022-08-22 4 SOVO Sovos Brands, Inc.
Common Stock
S - Sale -1,275,000 56,265,129 -2.22 13.37 -17,046,750 752,264,775
2022-08-17 2022-08-15 4 SOVO Sovos Brands, Inc.
Common Stock
S - Sale -8,500,000 57,540,129 -12.87 13.37 -113,645,000 769,311,525
2022-08-17 2022-08-15 4 SOVO Sovos Brands, Inc.
Common Stock
S - Sale -8,500,000 57,540,129 -12.87 13.37 -113,645,000 769,311,525
2022-08-17 2022-08-15 4 SOVO Sovos Brands, Inc.
Common Stock
S - Sale -8,500,000 57,540,129 -12.87 13.37 -113,645,000 769,311,525
2022-04-13 2022-04-11 4 CCCS CCC Intelligent Solutions Holdings Inc.
Common Stock
S - Sale -4,258,699 86,391,466 -4.70 9.28 -39,520,727 801,712,804
2022-04-13 2022-04-11 4 CCCS CCC Intelligent Solutions Holdings Inc.
Common Stock
S - Sale -406,142 8,238,944 -4.70 9.28 -3,768,998 76,457,400
2022-04-13 2022-04-11 4 CCCS CCC Intelligent Solutions Holdings Inc.
Common Stock
S - Sale -12,841,354 260,498,239 -4.70 9.28 -119,167,765 2,417,423,658
2021-12-15 2021-12-13 4 ATIP ATI Physical Therapy, Inc.
Class A Common Stock, par value $0.0001 per share
J - Other -2,270,624 560,979 -80.19
2021-11-29 2021-11-24 4 ATIP ATI Physical Therapy, Inc.
Class A Common Stock, par value $0.0001 per share
J - Other -127,468,397 2,831,603 -97.83
2021-11-24 2021-11-22 4 DH Definitive Healthcare Corp.
Class A Common Stock
D - Sale to Issuer -2,102,873 62,493,676 -3.26 34.74 -73,053,808 2,171,030,304
2021-11-24 2021-11-22 4 DH Definitive Healthcare Corp.
Class A Common Stock
D - Sale to Issuer -2,102,873 62,493,676 -3.26 34.74 -73,053,808 2,171,030,304
2021-11-24 2021-11-22 4 DH Definitive Healthcare Corp.
Class A Common Stock
D - Sale to Issuer -2,102,873 62,493,676 -3.26 34.74 -73,053,808 2,171,030,304
2021-11-24 2021-11-22 4 DH Definitive Healthcare Corp.
Class A Common Stock
D - Sale to Issuer -2,102,873 62,493,676 -3.26 34.74 -73,053,808 2,171,030,304
2021-11-24 2021-11-22 4 DH Definitive Healthcare Corp.
Class A Common Stock
D - Sale to Issuer -2,102,873 62,493,676 -3.26 34.74 -73,053,808 2,171,030,304
2021-10-12 2021-10-08 4 OLPX OLAPLEX HOLDINGS, INC.
Common Stock
S - Sale -10,306,655 499,468,771 -2.02 19.90 -205,076,668 9,938,179,871
2021-10-12 2021-10-08 4 OLPX OLAPLEX HOLDINGS, INC.
Common Stock
S - Sale -10,306,655 499,468,771 -2.02 19.90 -205,076,668 9,938,179,871
2021-10-12 2021-10-08 4 OLPX OLAPLEX HOLDINGS, INC.
Common Stock
S - Sale -10,306,655 499,468,771 -2.02 19.90 -205,076,668 9,938,179,871
2021-10-07 2021-10-05 4 FWRG First Watch Restaurant Group, Inc.
Preferred Stock
C - Conversion -266,668 0 -100.00
2021-10-07 2021-10-05 4 FWRG First Watch Restaurant Group, Inc.
Common Stock
J - Other -48,170,596 0 -100.00
2021-10-07 2021-10-05 4 FWRG First Watch Restaurant Group, Inc.
Common Stock
C - Conversion 3,156,812 48,170,596 7.01
2021-10-07 2021-10-05 4 FWRG First Watch Restaurant Group, Inc.
Preferred Stock
C - Conversion -266,668 0 -100.00
2021-10-07 2021-10-05 4 FWRG First Watch Restaurant Group, Inc.
Common Stock
J - Other -48,170,596 0 -100.00
2021-10-07 2021-10-05 4 FWRG First Watch Restaurant Group, Inc.
Common Stock
C - Conversion 3,156,812 48,170,596 7.01
2021-10-07 2021-10-05 4 FWRG First Watch Restaurant Group, Inc.
Preferred Stock
C - Conversion -266,668 0 -100.00
2021-10-07 2021-10-05 4 FWRG First Watch Restaurant Group, Inc.
Common Stock
J - Other -48,170,596 0 -100.00
2021-10-07 2021-10-05 4 FWRG First Watch Restaurant Group, Inc.
Common Stock
C - Conversion 3,156,812 48,170,596 7.01
2021-10-06 2021-10-04 4 OLPX OLAPLEX HOLDINGS, INC.
Common Stock
S - Sale -68,711,029 509,775,426 -11.88 19.90 -1,367,177,700 10,143,256,539
2021-10-06 2021-10-04 4 OLPX OLAPLEX HOLDINGS, INC.
Common Stock
S - Sale -68,711,029 509,775,426 -11.88 19.90 -1,367,177,700 10,143,256,539
2021-10-06 2021-10-04 4 OLPX OLAPLEX HOLDINGS, INC.
Common Stock
S - Sale -68,711,029 509,775,426 -11.88 19.90 -1,367,177,700 10,143,256,539
2021-10-01 3 FWRG First Watch Restaurant Group, Inc.
Common Stock
45,013,784
2021-10-01 3 FWRG First Watch Restaurant Group, Inc.
Common Stock
45,013,784
2021-10-01 3 FWRG First Watch Restaurant Group, Inc.
Common Stock
45,013,784
2021-09-30 3 OLPX OLAPLEX HOLDINGS, INC.
Common Stock
578,486,455
2021-09-30 3 OLPX OLAPLEX HOLDINGS, INC.
Common Stock
578,486,455
2021-09-30 3 OLPX OLAPLEX HOLDINGS, INC.
Common Stock
578,486,455
2021-09-23 3 SOVO Sovos Brands, Inc.
Class A Common Stock
66,638,748
2021-09-23 3 SOVO Sovos Brands, Inc.
Class A Common Stock
66,638,748
2021-09-23 3 SOVO Sovos Brands, Inc.
Class A Common Stock
66,638,748
2021-09-21 2021-09-17 4 DH Definitive Healthcare Corp.
Class A Common Stock
D - Sale to Issuer -1,497,033 64,596,549 -2.27 25.31 -37,893,648 1,635,100,147
2021-09-21 2021-09-17 4 DH Definitive Healthcare Corp.
Class A Common Stock
D - Sale to Issuer -1,497,033 64,596,549 -2.27 25.31 -37,893,648 1,635,100,147
2021-09-21 2021-09-17 4 DH Definitive Healthcare Corp.
Class A Common Stock
D - Sale to Issuer -1,497,033 64,596,549 -2.27 25.31 -37,893,648 1,635,100,147
2021-09-21 2021-09-17 4 DH Definitive Healthcare Corp.
Class A Common Stock
D - Sale to Issuer -1,497,033 64,596,549 -2.27 25.31 -37,893,648 1,635,100,147
2021-09-15 3 DH Definitive Healthcare Corp.
Class A Common Stock
66,093,582
2021-09-15 3 DH Definitive Healthcare Corp.
Class A Common Stock
66,093,582
2021-09-15 3 DH Definitive Healthcare Corp.
Class A Common Stock
66,093,582
2021-09-15 3 DH Definitive Healthcare Corp.
Class A Common Stock
66,093,582
2021-09-15 3 DH Definitive Healthcare Corp.
Class A Common Stock
66,093,582
2021-08-09 3 CCCS CCC Intelligent Solutions Holdings Inc.
Common Stock
273,339,593
2021-08-09 3 CCCS CCC Intelligent Solutions Holdings Inc.
Common Stock
8,645,086
2021-08-09 3 CCCS CCC Intelligent Solutions Holdings Inc.
Common Stock
90,650,165
2021-08-09 3 CCCS CCC Intelligent Solutions Holdings Inc.
Common Stock
500,000
2021-08-09 3 CCCS CCC Intelligent Solutions Holdings Inc.
Common Stock
273,339,593
2021-08-09 3 CCCS CCC Intelligent Solutions Holdings Inc.
Common Stock
8,645,086
2021-08-09 3 CCCS CCC Intelligent Solutions Holdings Inc.
Common Stock
90,650,165
2021-08-09 3 CCCS CCC Intelligent Solutions Holdings Inc.
Common Stock
500,000
2021-06-28 3 ATIP ATI Physical Therapy, Inc.
Class A Common Stock, par value $0.0001 per share
130,300,000
2021-06-28 3 ATIP ATI Physical Therapy, Inc.
Class A Common Stock, par value $0.0001 per share
130,300,000
2021-06-28 3 ATIP ATI Physical Therapy, Inc.
Class A Common Stock, par value $0.0001 per share
130,300,000
2021-06-09 2021-06-07 4 SYNH Syneos Health, Inc.
Class A Common Stock
S - Sale -273,821 0 -100.00 81.20 -22,234,265
2021-06-09 2021-06-07 4 SYNH Syneos Health, Inc.
Class A Common Stock
S - Sale -6,033,668 273,821 -95.66 81.20 -489,933,842 22,234,265
2021-06-09 2021-06-07 4 SYNH Syneos Health, Inc.
Class A Common Stock
S - Sale -273,821 0 -100.00 81.20 -22,234,265
2021-06-09 2021-06-07 4 SYNH Syneos Health, Inc.
Class A Common Stock
S - Sale -6,033,668 273,821 -95.66 81.20 -489,933,842 22,234,265
2021-06-09 2021-06-07 4 SYNH Syneos Health, Inc.
Class A Common Stock
S - Sale -273,821 0 -100.00 81.20 -22,234,265
2021-06-09 2021-06-07 4 SYNH Syneos Health, Inc.
Class A Common Stock
S - Sale -6,033,668 273,821 -95.66 81.20 -489,933,842 22,234,265
2021-06-09 2021-06-07 4 SYNH Syneos Health, Inc.
Class A Common Stock
S - Sale -273,821 0 -100.00 81.20 -22,234,265
2021-06-09 2021-06-07 4 SYNH Syneos Health, Inc.
Class A Common Stock
S - Sale -6,033,668 273,821 -95.66 81.20 -489,933,842 22,234,265
2021-06-09 2021-06-07 4 SYNH Syneos Health, Inc.
Class A Common Stock
S - Sale -273,821 0 -100.00 81.20 -22,234,265
2021-06-09 2021-06-07 4 SYNH Syneos Health, Inc.
Class A Common Stock
S - Sale -6,033,668 273,821 -95.66 81.20 -489,933,842 22,234,265
2021-06-09 2021-06-07 4 SYNH Syneos Health, Inc.
Class A Common Stock
S - Sale -273,821 0 -100.00 81.20 -22,234,265
2021-06-09 2021-06-07 4 SYNH Syneos Health, Inc.
Class A Common Stock
S - Sale -6,033,668 273,821 -95.66 81.20 -489,933,842 22,234,265
2021-05-18 2021-05-14 4 SYNH Syneos Health, Inc.
Class A Common Stock
S - Sale -448,942 6,307,489 -6.64 81.04 -36,382,260 511,158,909
2021-05-18 2021-05-14 4 SYNH Syneos Health, Inc.
Class A Common Stock
S - Sale -448,942 6,307,489 -6.64 81.04 -36,382,260 511,158,909
2021-05-18 2021-05-14 4 SYNH Syneos Health, Inc.
Class A Common Stock
S - Sale -448,942 6,307,489 -6.64 81.04 -36,382,260 511,158,909
2021-05-18 2021-05-14 4 SYNH Syneos Health, Inc.
Class A Common Stock
S - Sale -448,942 6,307,489 -6.64 81.04 -36,382,260 511,158,909
2021-05-18 2021-05-14 4 SYNH Syneos Health, Inc.
Class A Common Stock
S - Sale -448,942 6,307,489 -6.64 81.04 -36,382,260 511,158,909
2021-05-18 2021-05-14 4 SYNH Syneos Health, Inc.
Class A Common Stock
S - Sale -448,942 6,307,489 -6.64 81.04 -36,382,260 511,158,909
2021-05-10 2021-05-06 4 SYNH Syneos Health, Inc.
Class A Common Stock
S - Sale -216,666 6,756,431 -3.11 81.04 -17,558,613 547,541,168
2021-05-10 2021-05-06 4 SYNH Syneos Health, Inc.
Class A Common Stock
S - Sale -3,791,652 6,973,097 -35.22 81.04 -307,275,478 565,099,781
2021-05-10 2021-05-06 4 SYNH Syneos Health, Inc.
Class A Common Stock
S - Sale -216,666 6,756,431 -3.11 81.04 -17,558,613 547,541,168
2021-05-10 2021-05-06 4 SYNH Syneos Health, Inc.
Class A Common Stock
S - Sale -3,791,652 6,973,097 -35.22 81.04 -307,275,478 565,099,781
2021-05-10 2021-05-06 4 SYNH Syneos Health, Inc.
Class A Common Stock
S - Sale -216,666 6,756,431 -3.11 81.04 -17,558,613 547,541,168
2021-05-10 2021-05-06 4 SYNH Syneos Health, Inc.
Class A Common Stock
S - Sale -3,791,652 6,973,097 -35.22 81.04 -307,275,478 565,099,781
2021-05-10 2021-05-06 4 SYNH Syneos Health, Inc.
Class A Common Stock
S - Sale -216,666 6,756,431 -3.11 81.04 -17,558,613 547,541,168
2021-05-10 2021-05-06 4 SYNH Syneos Health, Inc.
Class A Common Stock
S - Sale -3,791,652 6,973,097 -35.22 81.04 -307,275,478 565,099,781
2021-05-10 2021-05-06 4 SYNH Syneos Health, Inc.
Class A Common Stock
S - Sale -216,666 6,756,431 -3.11 81.04 -17,558,613 547,541,168
2021-05-10 2021-05-06 4 SYNH Syneos Health, Inc.
Class A Common Stock
S - Sale -3,791,652 6,973,097 -35.22 81.04 -307,275,478 565,099,781
2021-05-10 2021-05-06 4 SYNH Syneos Health, Inc.
Class A Common Stock
S - Sale -216,666 6,756,431 -3.11 81.04 -17,558,613 547,541,168
2021-05-10 2021-05-06 4 SYNH Syneos Health, Inc.
Class A Common Stock
S - Sale -3,791,652 6,973,097 -35.22 81.04 -307,275,478 565,099,781
2021-03-05 2021-03-03 4 SYNH Syneos Health, Inc.
Class A Common Stock
S - Sale -322,824 10,764,749 -2.91 74.18 -23,945,470 798,475,257
2021-03-05 2021-03-03 4 SYNH Syneos Health, Inc.
Class A Common Stock
S - Sale -4,331,222 11,087,573 -28.09 74.18 -321,268,392 822,420,727
2021-03-05 2021-03-03 4 SYNH Syneos Health, Inc.
Class A Common Stock
S - Sale -322,824 10,764,749 -2.91 74.18 -23,945,470 798,475,257
2021-03-05 2021-03-03 4 SYNH Syneos Health, Inc.
Class A Common Stock
S - Sale -4,331,222 11,087,573 -28.09 74.18 -321,268,392 822,420,727
2021-03-05 2021-03-03 4 SYNH Syneos Health, Inc.
Class A Common Stock
S - Sale -322,824 10,764,749 -2.91 74.18 -23,945,470 798,475,257
2021-03-05 2021-03-03 4 SYNH Syneos Health, Inc.
Class A Common Stock
S - Sale -4,331,222 11,087,573 -28.09 74.18 -321,268,392 822,420,727
2021-03-05 2021-03-03 4 SYNH Syneos Health, Inc.
Class A Common Stock
S - Sale -322,824 10,764,749 -2.91 74.18 -23,945,470 798,475,257
2021-03-05 2021-03-03 4 SYNH Syneos Health, Inc.
Class A Common Stock
S - Sale -4,331,222 11,087,573 -28.09 74.18 -321,268,392 822,420,727
2021-03-05 2021-03-03 4 SYNH Syneos Health, Inc.
Class A Common Stock
S - Sale -322,824 10,764,749 -2.91 74.18 -23,945,470 798,475,257
2021-03-05 2021-03-03 4 SYNH Syneos Health, Inc.
Class A Common Stock
S - Sale -4,331,222 11,087,573 -28.09 74.18 -321,268,392 822,420,727
2021-03-05 2021-03-03 4 SYNH Syneos Health, Inc.
Class A Common Stock
S - Sale -322,824 10,764,749 -2.91 74.18 -23,945,470 798,475,257
2021-03-05 2021-03-03 4 SYNH Syneos Health, Inc.
Class A Common Stock
S - Sale -4,331,222 11,087,573 -28.09 74.18 -321,268,392 822,420,727
2020-12-07 2020-12-03 4 SYNH Syneos Health, Inc.
Class A Common Stock
S - Sale -3,228,241 15,418,795 -17.31 61.28 -197,826,608 944,863,758
2020-12-07 2020-12-03 4 SYNH Syneos Health, Inc.
Class A Common Stock
S - Sale -3,228,241 15,418,795 -17.31 61.28 -197,826,608 944,863,758
2020-12-07 2020-12-03 4 SYNH Syneos Health, Inc.
Class A Common Stock
S - Sale -3,228,241 15,418,795 -17.31 61.28 -197,826,608 944,863,758
2020-12-07 2020-12-03 4 SYNH Syneos Health, Inc.
Class A Common Stock
S - Sale -3,228,241 15,418,795 -17.31 61.28 -197,826,608 944,863,758
2020-12-07 2020-12-03 4 SYNH Syneos Health, Inc.
Class A Common Stock
S - Sale -3,228,241 15,418,795 -17.31 61.28 -197,826,608 944,863,758
2020-12-07 2020-12-03 4 SYNH Syneos Health, Inc.
Class A Common Stock
S - Sale -3,228,241 15,418,795 -17.31 61.28 -197,826,608 944,863,758
2020-09-22 2020-09-17 4/A SYNH Syneos Health, Inc.
Class A Common Stock
S - Sale -3,766,281 18,647,036 -16.80 59.26 -223,189,812 1,105,023,353
2020-09-22 2020-09-17 4/A SYNH Syneos Health, Inc.
Class A Common Stock
S - Sale -3,766,281 18,647,036 -16.80 59.26 -223,189,812 1,105,023,353
2020-09-22 2020-09-17 4/A SYNH Syneos Health, Inc.
Class A Common Stock
S - Sale -3,766,281 18,647,036 -16.80 59.26 -223,189,812 1,105,023,353
2020-09-22 2020-09-17 4/A SYNH Syneos Health, Inc.
Class A Common Stock
S - Sale -3,766,281 18,647,036 -16.80 59.26 -223,189,812 1,105,023,353
2020-09-22 2020-09-17 4/A SYNH Syneos Health, Inc.
Class A Common Stock
S - Sale -3,766,281 18,647,036 -16.80 59.26 -223,189,812 1,105,023,353
2020-09-22 2020-09-17 4/A SYNH Syneos Health, Inc.
Class A Common Stock
S - Sale -3,766,281 18,647,036 -16.80 59.26 -223,189,812 1,105,023,353
2020-09-21 2020-09-17 4 SYNH Syneos Health, Inc.
Class A Common Stock
S - Sale -3,766,281 18,647,036 -16.80 59.26 -223,189,812 1,105,023,353
2020-09-21 2020-09-17 4 SYNH Syneos Health, Inc.
Class A Common Stock
S - Sale -3,766,281 18,647,036 -16.80 59.26 -223,189,812 1,105,023,353
2020-09-21 2020-09-17 4 SYNH Syneos Health, Inc.
Class A Common Stock
S - Sale -3,766,281 18,647,036 -16.80 59.26 -223,189,812 1,105,023,353
2020-09-21 2020-09-17 4 SYNH Syneos Health, Inc.
Class A Common Stock
S - Sale -3,766,281 18,647,036 -16.80 59.26 -223,189,812 1,105,023,353
2020-09-21 2020-09-17 4 SYNH Syneos Health, Inc.
Class A Common Stock
S - Sale -3,766,281 18,647,036 -16.80 59.26 -223,189,812 1,105,023,353
2020-09-21 2020-09-17 4 SYNH Syneos Health, Inc.
Class A Common Stock
S - Sale -3,766,281 18,647,036 -16.80 59.26 -223,189,812 1,105,023,353
2020-04-01 2020-03-30 4 WAAS AquaVenture Holdings Ltd
Ordinary Shares, no par value
P - Purchase 31,971,571 100 -100.00 27.10 866,429,574 2,710
2020-04-01 2020-03-30 4 WAAS AquaVenture Holdings Ltd
Ordinary Shares, no par value
P - Purchase 31,971,571 100 -100.00 27.10 866,429,574 2,710
2020-04-01 2020-03-30 4 WAAS AquaVenture Holdings Ltd
Ordinary Shares, no par value
P - Purchase 31,971,571 100 -100.00 27.10 866,429,574 2,710
2020-01-02 3 WAAS AquaVenture Holdings Ltd
No securities are beneficially owned
0
2019-01-28 2019-01-28 4 BOJA Bojangles', Inc.
Common Stock
J - Other -18,839,342 0 -100.00
2019-01-28 2019-01-28 4 BOJA Bojangles', Inc.
Common Stock
J - Other -18,839,342 0 -100.00
2018-08-29 2018-08-27 4 COTV Cotiviti Holdings, Inc.
Common Stock
J - Other -41,433,699 0 -100.00 44.75 -1,854,158,030
2018-08-29 2018-08-27 4 COTV Cotiviti Holdings, Inc.
Common Stock
J - Other -41,433,699 0 -100.00 44.75 -1,854,158,030
2018-08-29 2018-08-27 4 COTV Cotiviti Holdings, Inc.
Common Stock
J - Other -41,433,699 0 -100.00 44.75 -1,854,158,030
2018-06-11 2018-06-07 4 LULU lululemon athletica inc.
Common Stock
S - Sale -10,000,000 10,105,279 -49.74 121.00 -1,210,000,000 1,222,738,759
2018-06-11 2018-06-07 4 LULU lululemon athletica inc.
Common Stock
S - Sale -10,000,000 10,105,279 -49.74 121.00 -1,210,000,000 1,222,738,759
2018-06-11 2018-06-07 4 LULU lululemon athletica inc.
Common Stock
S - Sale -10,000,000 10,105,279 -49.74 121.00 -1,210,000,000 1,222,738,759
2017-12-27 2017-12-22 4 PRTY Party City Holdco Inc.
Common Stock
S - Sale -19,841,694 0 -100.00 12.20 -242,068,667
2017-12-27 2017-12-22 4 PRTY Party City Holdco Inc.
Common Stock
S - Sale -19,841,694 0 -100.00 12.20 -242,068,667
2017-12-13 2017-12-11 4 PRTY Party City Holdco Inc.
Common Stock
S - Sale -2,558,306 19,841,694 -11.42 12.67 -32,413,737 251,394,263
2017-12-13 2017-12-11 4 PRTY Party City Holdco Inc.
Common Stock
S - Sale -2,558,306 19,841,694 -11.42 12.67 -32,413,737 251,394,263
2017-08-14 2017-08-10 4 COTV Cotiviti Holdings, Inc.
Common Stock
S - Sale -9,257,651 41,433,699 -18.26 36.87 -341,329,592 1,527,660,482
2017-08-14 2017-08-10 4 COTV Cotiviti Holdings, Inc.
Common Stock
S - Sale -9,257,651 41,433,699 -18.26 36.87 -341,329,592 1,527,660,482
2017-08-14 2017-08-10 4 COTV Cotiviti Holdings, Inc.
Common Stock
S - Sale -9,257,651 41,433,699 -18.26 36.87 -341,329,592 1,527,660,482
2017-08-11 3 INCR INC Research Holdings, Inc.
Class A Common Stock
44,826,634
2017-08-11 3 INCR INC Research Holdings, Inc.
Class A Common Stock
44,826,634
2017-08-11 3 INCR INC Research Holdings, Inc.
Class A Common Stock
44,826,634
2017-08-11 3 INCR INC Research Holdings, Inc.
Class A Common Stock
44,826,634
2017-08-11 3 INCR INC Research Holdings, Inc.
Class A Common Stock
44,826,634
2017-08-11 3 INCR INC Research Holdings, Inc.
Class A Common Stock
44,826,634
2017-08-11 3 INCR INC Research Holdings, Inc.
Class A Common Stock
44,826,634
2017-08-11 3 INCR INC Research Holdings, Inc.
Class A Common Stock
44,826,634
2017-08-11 3 INCR INC Research Holdings, Inc.
Class A Common Stock
44,826,634
2017-08-11 3 INCR INC Research Holdings, Inc.
Class A Common Stock
44,826,634
2017-08-11 3 INCR INC Research Holdings, Inc.
Class A Common Stock
44,826,634
2017-08-11 3 INCR INC Research Holdings, Inc.
Class A Common Stock
44,826,634
2017-08-11 3 INCR INC Research Holdings, Inc.
Class A Common Stock
44,826,634
2017-08-11 3 INCR INC Research Holdings, Inc.
Class A Common Stock
44,826,634
2017-08-11 3 INCR INC Research Holdings, Inc.
Class A Common Stock
44,826,634
2017-08-11 3 INCR INC Research Holdings, Inc.
Class A Common Stock
44,826,634
2017-08-11 3 INCR INC Research Holdings, Inc.
Class A Common Stock
44,826,634
2017-08-11 3 INCR INC Research Holdings, Inc.
Class A Common Stock
44,826,634
2017-08-11 3 INCR INC Research Holdings, Inc.
Class A Common Stock
44,826,634
2017-08-11 3 INCR INC Research Holdings, Inc.
Class A Common Stock
44,826,634
2017-08-11 3 INCR INC Research Holdings, Inc.
Class A Common Stock
44,826,634
2017-08-11 3 INCR INC Research Holdings, Inc.
Class A Common Stock
44,826,634
2017-08-11 3 INCR INC Research Holdings, Inc.
Class A Common Stock
44,826,634
2017-08-11 3 INCR INC Research Holdings, Inc.
Class A Common Stock
44,826,634
2017-08-11 3 INCR INC Research Holdings, Inc.
Class A Common Stock
44,826,634
2017-08-11 3 INCR INC Research Holdings, Inc.
Class A Common Stock
44,826,634
2017-08-11 3 INCR INC Research Holdings, Inc.
Class A Common Stock
44,826,634
2017-08-11 3 INCR INC Research Holdings, Inc.
Class A Common Stock
44,826,634
2017-08-11 3 INCR INC Research Holdings, Inc.
Class A Common Stock
44,826,634
2017-08-11 3 INCR INC Research Holdings, Inc.
Class A Common Stock
44,826,634
2017-08-11 3 INCR INC Research Holdings, Inc.
Class A Common Stock
44,826,634
2017-08-11 3 INCR INC Research Holdings, Inc.
Class A Common Stock
44,826,634
2017-08-11 3 INCR INC Research Holdings, Inc.
Class A Common Stock
44,826,634
2017-08-11 3 INCR INC Research Holdings, Inc.
Class A Common Stock
44,826,634
2017-08-11 3 INCR INC Research Holdings, Inc.
Class A Common Stock
44,826,634
2017-08-11 3 INCR INC Research Holdings, Inc.
Class A Common Stock
44,826,634
2017-08-11 3 INCR INC Research Holdings, Inc.
Class A Common Stock
44,826,634
2017-08-11 3 INCR INC Research Holdings, Inc.
Class A Common Stock
44,826,634
2017-08-11 3 INCR INC Research Holdings, Inc.
Class A Common Stock
44,826,634
2017-08-11 3 INCR INC Research Holdings, Inc.
Class A Common Stock
44,826,634
2017-08-11 3 INCR INC Research Holdings, Inc.
Class A Common Stock
44,826,634
2017-08-11 3 INCR INC Research Holdings, Inc.
Class A Common Stock
44,826,634
2017-08-11 3 INCR INC Research Holdings, Inc.
Class A Common Stock
44,826,634
2017-08-11 3 INCR INC Research Holdings, Inc.
Class A Common Stock
44,826,634
2017-08-11 3 INCR INC Research Holdings, Inc.
Class A Common Stock
44,826,634
2017-08-11 3 INCR INC Research Holdings, Inc.
Class A Common Stock
44,826,634
2017-08-11 3 INCR INC Research Holdings, Inc.
Class A Common Stock
44,826,634
2017-08-11 3 INCR INC Research Holdings, Inc.
Class A Common Stock
44,826,634
2017-08-11 3 INCR INC Research Holdings, Inc.
Class A Common Stock
44,826,634
2017-08-11 3 INCR INC Research Holdings, Inc.
Class A Common Stock
44,826,634
2017-08-11 3 INCR INC Research Holdings, Inc.
Class A Common Stock
44,826,634
2017-08-11 3 INCR INC Research Holdings, Inc.
Class A Common Stock
44,826,634
2017-08-11 3 INCR INC Research Holdings, Inc.
Class A Common Stock
44,826,634
2017-08-11 3 INCR INC Research Holdings, Inc.
Class A Common Stock
44,826,634
2017-08-11 3 INCR INC Research Holdings, Inc.
Class A Common Stock
44,826,634
2017-08-11 3 INCR INC Research Holdings, Inc.
Class A Common Stock
44,826,634
2017-08-11 3 INCR INC Research Holdings, Inc.
Class A Common Stock
44,826,634
2017-08-11 3 INCR INC Research Holdings, Inc.
Class A Common Stock
44,826,634
2017-08-11 3 INCR INC Research Holdings, Inc.
Class A Common Stock
44,826,634
2017-08-11 3 INCR INC Research Holdings, Inc.
Class A Common Stock
44,826,634
2017-05-05 2017-05-03 4 NCSM NCS Multistage Holdings, Inc.
Common Stock
S - Sale -1,375,000 29,568,536 -4.44 15.94 -21,914,062 471,248,542
2017-05-05 2017-05-03 4 NCSM NCS Multistage Holdings, Inc.
Common Stock
S - Sale -1,375,000 29,568,536 -4.44 15.94 -21,914,062 471,248,542
2017-05-05 2017-05-03 4 NCSM NCS Multistage Holdings, Inc.
Common Stock
S - Sale -1,375,000 29,568,536 -4.44 15.94 -21,914,062 471,248,542
2017-05-04 2017-05-02 4 TRU TransUnion
Common Stock
S - Sale -11,027,445 15,707,314 -41.25 39.15 -431,724,472 614,941,343
2017-05-04 2017-05-02 4 TRU TransUnion
Common Stock
S - Sale -11,027,445 15,707,314 -41.25 39.15 -431,724,472 614,941,343
2017-05-04 3/A NCSM NCS Multistage Holdings, Inc.
Common Stock
30,943,536
2017-04-27 3 NCSM NCS Multistage Holdings, Inc.
Common Stock
61,887,072
2017-04-27 3 NCSM NCS Multistage Holdings, Inc.
Common Stock
61,887,072
2017-04-27 3 NCSM NCS Multistage Holdings, Inc.
Common Stock
61,887,072
2017-04-27 3 NCSM NCS Multistage Holdings, Inc.
Common Stock
61,887,072
2017-04-27 3 NCSM NCS Multistage Holdings, Inc.
Common Stock
61,887,072
2017-04-27 3 NCSM NCS Multistage Holdings, Inc.
Common Stock
61,887,072
2017-04-27 3 NCSM NCS Multistage Holdings, Inc.
Common Stock
61,887,072
2017-04-27 3 NCSM NCS Multistage Holdings, Inc.
Common Stock
61,887,072
2017-04-27 3 NCSM NCS Multistage Holdings, Inc.
Common Stock
61,887,072
2017-04-27 3 NCSM NCS Multistage Holdings, Inc.
Common Stock
61,887,072
2017-04-27 3 NCSM NCS Multistage Holdings, Inc.
Common Stock
61,887,072
2017-04-27 3 NCSM NCS Multistage Holdings, Inc.
Common Stock
61,887,072
2017-04-27 3 NCSM NCS Multistage Holdings, Inc.
Common Stock
61,887,072
2017-04-27 3 NCSM NCS Multistage Holdings, Inc.
Common Stock
61,887,072
2017-04-27 3 NCSM NCS Multistage Holdings, Inc.
Common Stock
61,887,072
2017-04-27 3 NCSM NCS Multistage Holdings, Inc.
Common Stock
61,887,072
2017-04-27 3 NCSM NCS Multistage Holdings, Inc.
Common Stock
61,887,072
2017-04-27 3 NCSM NCS Multistage Holdings, Inc.
Common Stock
61,887,072
2017-04-27 3 NCSM NCS Multistage Holdings, Inc.
Common Stock
61,887,072
2017-04-27 3 NCSM NCS Multistage Holdings, Inc.
Common Stock
61,887,072
2017-04-27 3 NCSM NCS Multistage Holdings, Inc.
Common Stock
61,887,072
2017-04-27 3 NCSM NCS Multistage Holdings, Inc.
Common Stock
61,887,072
2017-04-27 3 NCSM NCS Multistage Holdings, Inc.
Common Stock
61,887,072
2017-04-27 3 NCSM NCS Multistage Holdings, Inc.
Common Stock
61,887,072
2017-04-27 3 NCSM NCS Multistage Holdings, Inc.
Common Stock
61,887,072
2017-03-23 2017-03-22 4 TRU TransUnion
Common Stock
S - Sale -992,500 26,734,759 -3.58 36.57 -36,295,725 977,690,137
2017-03-23 2017-03-22 4 TRU TransUnion
Common Stock
S - Sale -992,500 26,734,759 -3.58 36.57 -36,295,725 977,690,137
2017-03-15 2017-03-13 4 COTV Cotiviti Holdings, Inc.
Common Stock
S - Sale -8,011,580 50,691,350 -13.65 34.38 -275,438,120 1,742,768,613
2017-03-15 2017-03-13 4 COTV Cotiviti Holdings, Inc.
Common Stock
S - Sale -8,011,580 50,691,350 -13.65 34.38 -275,438,120 1,742,768,613
2017-03-15 2017-03-13 4 COTV Cotiviti Holdings, Inc.
Common Stock
S - Sale -8,011,580 50,691,350 -13.65 34.38 -275,438,120 1,742,768,613
2017-02-23 2017-02-22 4 TRU TransUnion
Common Stock
S - Sale -9,730,500 27,727,259 -25.98 36.57 -355,844,385 1,013,985,862
2017-02-23 2017-02-22 4 TRU TransUnion
Common Stock
S - Sale -9,730,500 27,727,259 -25.98 36.57 -355,844,385 1,013,985,862
2016-12-07 2016-12-06 4 BOJA Bojangles', Inc.
Common Stock
S - Sale -6,616,889 18,839,342 -25.99 16.39 -108,434,268 308,729,717
2016-12-07 2016-12-06 4 BOJA Bojangles', Inc.
Common Stock
S - Sale -6,616,889 18,839,342 -25.99 16.39 -108,434,268 308,729,717
2016-12-07 2015-05-13 4/A BOJA Bojangles', Inc.
Common Stock
S - Sale -8,412,090 25,456,231 -24.84 17.67 -148,641,630 449,811,602
2016-12-07 2015-05-13 4/A BOJA Bojangles', Inc.
Common Stock
S - Sale -8,412,090 25,456,231 -24.84 17.67 -148,641,630 449,811,602
2016-09-16 2016-09-14 4 TRU TransUnion
Common Stock
S - Sale -7,906,000 37,457,759 -17.43 32.82 -259,474,920 1,229,363,650
2016-09-16 2016-09-14 4 TRU TransUnion
Common Stock
S - Sale -7,906,000 37,457,759 -17.43 32.82 -259,474,920 1,229,363,650
2016-06-13 2016-06-10 4 TRU TransUnion
Common Stock
S - Sale -18,000,000 45,363,759 -28.41 31.25 -562,500,000 1,417,617,469
2016-06-13 2016-06-10 4 TRU TransUnion
Common Stock
S - Sale -18,000,000 45,363,759 -28.41 31.25 -562,500,000 1,417,617,469
2016-05-25 3 COTV Cotiviti Holdings, Inc.
Common Stock
117,405,860
2016-05-25 3 COTV Cotiviti Holdings, Inc.
Common Stock
117,405,860
2016-05-25 3 COTV Cotiviti Holdings, Inc.
Common Stock
117,405,860
2016-05-25 3 COTV Cotiviti Holdings, Inc.
Common Stock
117,405,860
2016-05-25 3 COTV Cotiviti Holdings, Inc.
Common Stock
117,405,860
2016-05-25 3 COTV Cotiviti Holdings, Inc.
Common Stock
117,405,860
2016-05-25 3 COTV Cotiviti Holdings, Inc.
Common Stock
117,405,860
2016-05-25 3 COTV Cotiviti Holdings, Inc.
Common Stock
117,405,860
2016-05-25 3 COTV Cotiviti Holdings, Inc.
Common Stock
117,405,860
2016-05-25 3 COTV Cotiviti Holdings, Inc.
Common Stock
117,405,860
2016-05-25 3 COTV Cotiviti Holdings, Inc.
Common Stock
117,405,860
2016-05-25 3 COTV Cotiviti Holdings, Inc.
Common Stock
117,405,860
2016-05-25 3 COTV Cotiviti Holdings, Inc.
Common Stock
117,405,860
2016-05-25 3 COTV Cotiviti Holdings, Inc.
Common Stock
117,405,860
2016-05-25 3 COTV Cotiviti Holdings, Inc.
Common Stock
117,405,860
2016-05-25 3 COTV Cotiviti Holdings, Inc.
Common Stock
117,405,860
2016-05-25 3 COTV Cotiviti Holdings, Inc.
Common Stock
117,405,860
2016-05-25 3 COTV Cotiviti Holdings, Inc.
Common Stock
117,405,860
2016-05-25 3 COTV Cotiviti Holdings, Inc.
Common Stock
117,405,860
2016-05-25 3 COTV Cotiviti Holdings, Inc.
Common Stock
117,405,860
2016-05-25 3 COTV Cotiviti Holdings, Inc.
Common Stock
117,405,860
2016-05-25 3 COTV Cotiviti Holdings, Inc.
Common Stock
117,405,860
2016-05-25 3 COTV Cotiviti Holdings, Inc.
Common Stock
117,405,860
2016-05-25 3 COTV Cotiviti Holdings, Inc.
Common Stock
117,405,860
2016-05-25 3 COTV Cotiviti Holdings, Inc.
Common Stock
117,405,860
2016-03-16 2016-03-14 4 TRU TransUnion
Common Stock
S - Sale -8,938,999 63,416,341 -12.35 24.06 -215,094,663 1,525,955,705
2016-03-16 2016-03-14 4 TRU TransUnion
Common Stock
S - Sale -8,938,999 63,416,341 -12.35 24.06 -215,094,663 1,525,955,705
2015-06-24 3 TRU TransUnion
Common Stock
144,710,682
2015-06-24 3 TRU TransUnion
Common Stock
144,710,682
2015-06-24 3 TRU TransUnion
Common Stock
144,710,682
2015-06-24 3 TRU TransUnion
Common Stock
144,710,682
2015-06-24 3 TRU TransUnion
Common Stock
144,710,682
2015-06-24 3 TRU TransUnion
Common Stock
144,710,682
2015-06-24 3 TRU TransUnion
Common Stock
144,710,682
2015-06-24 3 TRU TransUnion
Common Stock
144,710,682
2015-06-24 3 TRU TransUnion
Common Stock
144,710,682
2015-06-24 3 TRU TransUnion
Common Stock
144,710,682
2015-06-24 3 TRU TransUnion
Common Stock
144,710,682
2015-06-24 3 TRU TransUnion
Common Stock
144,710,682
2015-06-24 3 TRU TransUnion
Common Stock
144,710,682
2015-06-24 3 TRU TransUnion
Common Stock
144,710,682
2015-06-24 3 TRU TransUnion
Common Stock
144,710,682
2015-06-24 3 TRU TransUnion
Common Stock
144,710,682
2015-06-24 3 TRU TransUnion
Common Stock
144,710,682
2015-06-24 3 TRU TransUnion
Common Stock
144,710,682
2015-06-24 3 TRU TransUnion
Common Stock
144,710,682
2015-06-24 3 TRU TransUnion
Common Stock
144,710,682
2015-06-24 3 TRU TransUnion
Common Stock
144,710,682
2015-05-15 2015-05-13 4 BOJA Bojangles', Inc.
Series A Convertible Preferred Stock
C - Conversion -33,868,321 0 -100.00
2015-05-15 2015-05-13 4 BOJA Bojangles', Inc.
Common Stock
C - Conversion 33,868,321 33,868,321
2015-05-15 2015-05-13 4 BOJA Bojangles', Inc.
Series A Convertible Preferred Stock
C - Conversion -33,868,321 0 -100.00
2015-05-15 2015-05-13 4 BOJA Bojangles', Inc.
Common Stock
C - Conversion 33,868,321 33,868,321
2015-04-15 3 PRTY Party City Holdco Inc.
Common Stock
44,800,000
2015-04-15 3 PRTY Party City Holdco Inc.
Common Stock
44,800,000
2015-04-15 3 PRTY Party City Holdco Inc.
Common Stock
44,800,000
2015-04-15 3 PRTY Party City Holdco Inc.
Common Stock
44,800,000
2015-04-15 3 PRTY Party City Holdco Inc.
Common Stock
44,800,000
2015-04-15 3 PRTY Party City Holdco Inc.
Common Stock
44,800,000
2015-04-15 3 PRTY Party City Holdco Inc.
Common Stock
44,800,000
2015-04-15 3 PRTY Party City Holdco Inc.
Common Stock
44,800,000
2015-04-15 3 PRTY Party City Holdco Inc.
Common Stock
44,800,000
2015-04-15 3 PRTY Party City Holdco Inc.
Common Stock
44,800,000
2015-04-15 3 PRTY Party City Holdco Inc.
Common Stock
44,800,000
2015-04-15 3 PRTY Party City Holdco Inc.
Common Stock
44,800,000
2015-04-15 3 PRTY Party City Holdco Inc.
Common Stock
44,800,000
2015-04-15 3 PRTY Party City Holdco Inc.
Common Stock
44,800,000
2015-04-15 3 PRTY Party City Holdco Inc.
Common Stock
44,800,000
2015-04-15 3 PRTY Party City Holdco Inc.
Common Stock
44,800,000
2015-04-15 3 PRTY Party City Holdco Inc.
Common Stock
44,800,000
2015-04-15 3 PRTY Party City Holdco Inc.
Common Stock
44,800,000
2015-04-15 3 PRTY Party City Holdco Inc.
Common Stock
44,800,000
2015-04-15 3 PRTY Party City Holdco Inc.
Common Stock
44,800,000
2015-04-15 3 PRTY Party City Holdco Inc.
Common Stock
44,800,000
2014-10-16 2014-10-14 4 LULU lululemon athletica inc.
Common Stock
J - Other 595,276 20,105,279 3.05
2014-10-16 2014-10-14 4 LULU lululemon athletica inc.
Common Stock
J - Other -595,276 20,105,279 -2.88
2014-10-16 2014-10-14 4 LULU lululemon athletica inc.
Common Stock
J - Other 595,276 20,105,279 3.05
2014-10-16 2014-10-14 4 LULU lululemon athletica inc.
Common Stock
J - Other -595,276 20,105,279 -2.88
2014-10-16 2014-10-14 4 LULU lululemon athletica inc.
Common Stock
J - Other 595,276 20,105,279 3.05
2014-10-16 2014-10-14 4 LULU lululemon athletica inc.
Common Stock
J - Other -595,276 20,105,279 -2.88
2014-08-18 3 LULU lululemon athletica inc.
Common Stock
40,210,558
2014-08-18 3 LULU lululemon athletica inc.
Common Stock
40,210,558
2014-08-18 3 LULU lululemon athletica inc.
Common Stock
40,210,558
2014-08-18 3 LULU lululemon athletica inc.
Common Stock
40,210,558
2014-08-18 3 LULU lululemon athletica inc.
Common Stock
40,210,558
2014-08-18 3 LULU lululemon athletica inc.
Common Stock
40,210,558
2014-08-18 3 LULU lululemon athletica inc.
Common Stock
40,210,558
2014-08-18 3 LULU lululemon athletica inc.
Common Stock
40,210,558
2014-08-18 3 LULU lululemon athletica inc.
Common Stock
40,210,558
2014-08-18 3 LULU lululemon athletica inc.
Common Stock
40,210,558
2014-08-18 3 LULU lululemon athletica inc.
Common Stock
40,210,558
2014-08-18 3 LULU lululemon athletica inc.
Common Stock
40,210,558
2014-08-18 3 LULU lululemon athletica inc.
Common Stock
40,210,558
2014-08-18 3 LULU lululemon athletica inc.
Common Stock
40,210,558
2014-08-18 3 LULU lululemon athletica inc.
Common Stock
40,210,558
2014-08-18 3 LULU lululemon athletica inc.
Common Stock
40,210,558
2014-08-18 3 LULU lululemon athletica inc.
Common Stock
40,210,558
2014-08-18 3 LULU lululemon athletica inc.
Common Stock
40,210,558
2014-08-18 3 LULU lululemon athletica inc.
Common Stock
40,210,558
2014-08-18 3 LULU lululemon athletica inc.
Common Stock
40,210,558
2014-08-18 3 LULU lululemon athletica inc.
Common Stock
40,210,558
2014-08-18 3 LULU lululemon athletica inc.
Common Stock
40,210,558
2014-08-18 3 LULU lululemon athletica inc.
Common Stock
40,210,558
2014-08-18 3 LULU lululemon athletica inc.
Common Stock
40,210,558
2014-08-18 3 LULU lululemon athletica inc.
Common Stock
40,210,558
2014-08-18 3 LULU lululemon athletica inc.
Common Stock
40,210,558
2014-08-18 3 LULU lululemon athletica inc.
Common Stock
40,210,558
2014-08-18 3 LULU lululemon athletica inc.
Common Stock
40,210,558
2014-04-03 2014-04-01 4 FIVE FIVE BELOW, INC
Common Stock
S - Sale -4,622,261 0 -100.00 41.66 -192,563,393
2014-03-12 2014-03-10 4 VNTV Vantiv, Inc.
Class A Common Stock
S - Sale -18,781,147 0 -100.00 31.51 -591,793,942
2013-11-08 2013-11-08 4 VNTV Vantiv, Inc.
Class A Common Stock
S - Sale -15,000,000 18,781,147 -44.40 26.68 -400,200,000 501,081,002
2013-09-24 2013-09-23 4 FIVE FIVE BELOW, INC
Common Stock
S - Sale -7,000,000 4,622,261 -60.23 46.65 -326,550,000 215,628,476
2013-08-07 2013-08-07 4 VNTV Vantiv, Inc.
Class A Common Stock
S - Sale -15,000,000 33,781,147 -30.75 25.51 -382,650,000 861,757,060
2013-07-02 2013-07-01 4 FIVE FIVE BELOW, INC
Common Stock
S - Sale -5,841,878 11,622,261 -33.45 34.65 -202,421,073 402,711,344
2013-05-15 2013-05-15 4 VNTV Vantiv, Inc.
Class A Common Stock
S - Sale -24,318,394 48,781,147 -33.27 22.92 -557,348,408 1,118,005,352
2013-02-06 2013-02-04 4 FIVE FIVE BELOW, INC
Common Stock
S - Sale -9,381,847 17,464,139 -34.95 34.05 -319,451,890 594,653,933
2012-08-06 2012-08-02 4 VNTV Vantiv, Inc.
Class A Common Stock
S - Sale -13,800,000 73,099,541 -15.88 20.97 -289,372,200 1,532,824,275
2012-07-25 2012-07-24 4 FIVE FIVE BELOW, INC
Series A 8% Convertible Preferred Stock
D - Sale to Issuer -88,785,489 0 -100.00
2012-07-25 2012-07-24 4 FIVE FIVE BELOW, INC
Common Stock
S - Sale -3,873,793 26,845,986 -12.61 15.81 -61,244,667 424,435,039
2012-07-25 2012-07-24 4 FIVE FIVE BELOW, INC
Common Stock
C - Conversion 30,719,779 30,719,779
2012-05-17 2012-05-15 4 WAGE WAGEWORKS, INC.
Common Stock Warrant (Right to Buy)
C - Conversion 472,736 472,736
2012-05-17 2012-05-15 4 WAGE WAGEWORKS, INC.
Series E-1 Warrant (Right to Buy)
C - Conversion -945,477 0 -100.00
2012-05-17 2012-05-15 4 WAGE WAGEWORKS, INC.
Series E Preferred Stock
C - Conversion -573,168 0 -100.00
2012-05-17 2012-05-15 4 WAGE WAGEWORKS, INC.
Series D Preferred Stock
C - Conversion -235,025 0 -100.00
2012-05-17 2012-05-15 4 WAGE WAGEWORKS, INC.
Series C Preferred Stock
C - Conversion -2,764,706 0 -100.00
2012-05-17 2012-05-15 4 WAGE WAGEWORKS, INC.
Series A-2 Preferred Stock
C - Conversion -526 0 -100.00
2012-05-17 2012-05-15 4 WAGE WAGEWORKS, INC.
Series A-1 Preferred Stock
C - Conversion -919 0 -100.00
2012-05-17 2012-05-15 4 WAGE WAGEWORKS, INC.
Common Stock
C - Conversion 286,581 1,832,794 18.53
2012-05-17 2012-05-15 4 WAGE WAGEWORKS, INC.
Common Stock
C - Conversion 117,510 1,546,213 8.22
2012-05-17 2012-05-15 4 WAGE WAGEWORKS, INC.
Common Stock
C - Conversion 1,382,351 1,428,703 2,982.29
2012-05-17 2012-05-15 4 WAGE WAGEWORKS, INC.
Common Stock
C - Conversion 443 46,352 0.96
2012-05-17 2012-05-15 4 WAGE WAGEWORKS, INC.
Common Stock
C - Conversion 1,347 45,909 3.02
2012-05-09 3/A WAGE WAGEWORKS, INC.
Common Stock
44,562
2012-03-29 2012-03-27 4 VNTV Vantiv, Inc.
Class A Common Stock
S - Sale -2,086,064 87,429,553 -2.33 16.06 -33,512,618 1,404,555,769
2012-03-21 3 VNTV Vantiv, Inc.
Class A Common Stock
89,515,617
2012-03-14 2012-03-09 4 AEGR Aegerion Pharmaceuticals, Inc.
Common Stock
S - Sale -100,000 2,457,879 -3.91 15.87 -1,586,830 39,002,361
2012-01-31 2012-01-31 4 AEGR Aegerion Pharmaceuticals, Inc.
Common Stock
S - Sale -22,300 2,557,879 -0.86 17.10 -381,363 43,743,568
2012-01-31 2012-01-30 4 AEGR Aegerion Pharmaceuticals, Inc.
Common Stock
S - Sale -2,700 2,580,179 -0.10 17.06 -46,075 44,030,239
2012-01-31 2012-01-27 4 AEGR Aegerion Pharmaceuticals, Inc.
Common Stock
S - Sale -50,000 2,582,879 -1.90 17.17 -858,275 44,336,409
P
Open market or private purchase of non-derivative or derivative security
S
Open market or private sale of non-derivative or derivative security
A
Grant, award, or other acquisition of securities from the company (such as an option)
C
Conversion of derivative
D
Sale or transfer of securities back to the company
F
Payment of exercise price or tax liability using portion of securities received from the company
G
Gift of securities by or to the insider
K
Equity swaps and similar hedging transactions
M
Exercise or conversion of derivative security received from the company (such as an option)
V
A transaction voluntarily reported on Form 4
J
Other (accompanied by a footnote describing the transaction)