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Net short positions
Stability
Consumer protection
Sustainability
Banking
Payments
Insurance
Markets
Published
About FI
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Svenska
Stability
Consumer protection
Sustainability
Banking
Payments
Insurance
Markets
Published
About FI
Start
Our registers
Net short positions
Positions per issuer
Only positions from 2020-01-01 are shown in the view below.
Re:NewCell AB
LEI code
549300ODX3D04SRRH667
Sum percent
2.38
Current positions
Position holder
ISIN
Position in percent (%)
Position date
Previous Position (%)
GSA Capital Partners LLP
SE0014960431
1,24
2024-02-13
1,12
Historic positions
Position holder
ISIN
Position in percent (%)
Position date
Following position (%)
Arrowstreet Capital Limited Partnership
SE0014960431
<0,5
2024-12-11
GSA Capital Partners LLP
SE0014960431
1,12
2024-02-07
1,24
GSA Capital Partners LLP
SE0014960431
1
2024-02-05
1,12
GSA Capital Partners LLP
SE0014960431
0,93
2024-01-31
1
GSA Capital Partners LLP
SE0014960431
0,84
2024-01-29
0,93
GSA Capital Partners LLP
SE0014960431
0,71
2024-01-22
0,84
GSA Capital Partners LLP
SE0014960431
0,61
2024-01-17
0,71
GSA Capital Partners LLP
SE0014960431
0,52
2024-01-15
0,61
ALCUR FONDER AB
SE0014960431
<0,5
2023-11-23
ALCUR FONDER AB
SE0014960431
0,53
2023-11-22
<0,5
Arrowstreet Capital Limited Partnership
SE0014960431
0,91
2023-11-13
<0,5
Arrowstreet Capital Limited Partnership
SE0014960431
0,87
2023-11-08
0,91
Arrowstreet Capital Limited Partnership
SE0014960431
0,77
2023-11-07
0,87
Arrowstreet Capital Limited Partnership
SE0014960431
0,65
2023-11-06
0,77
Franklin Templeton Investment Management Limited
SE0014960431
<0,5
2023-07-25
Franklin Templeton Investment Management Limited
SE0014960431
0,57
2023-06-30
<0,5
Citadel Advisors LLC
SE0014960431
<0,5
2023-04-20
Citadel Advisors LLC
SE0014960431
0,59
2023-03-24
<0,5
Franklin Templeton Investment Management Limited
SE0014960431
0,69
2023-03-23
0,57
Citadel Advisors LLC
SE0014960431
0,6
2023-03-23
0,59
Franklin Templeton Investment Management Limited
SE0014960431
1,12
2023-03-22
0,69
Citadel Advisors LLC
SE0014960431
0,56
2023-03-22
0,6
Citadel Advisors LLC
SE0014960431
<0,5
2023-03-07
0,56
Acadian Asset Management LLC
SE0014960431
<0,5
2023-02-28
Acadian Asset Management LLC
SE0014960431
0,54
2023-02-27
<0,5
Acadian Asset Management LLC
SE0014960431
0,66
2023-02-23
0,54
Arrowstreet Capital Limited Partnership
SE0014960431
0,52
2023-02-23
0,65
Citadel Advisors LLC
SE0014960431
0,58
2023-02-16
<0,5
Arrowstreet Capital Limited Partnership
SE0014960431
<0,5
2023-02-14
0,52
Acadian Asset Management LLC
SE0014960431
0,78
2023-01-31
0,66
Arrowstreet Capital Limited Partnership
SE0014960431
0,5
2023-01-09
<0,5
Citadel Advisors LLC
SE0014960431
<0,5
2022-12-14
Acadian Asset Management LLC
SE0014960431
0,81
2022-12-13
0,78
Franklin Templeton Investment Management Limited
SE0014960431
1,62
2022-12-07
1,12
Citadel Advisors LLC
SE0014960431
0,53
2022-12-06
<0,5
Acadian Asset Management LLC
SE0014960431
0,71
2022-11-21
0,81
Franklin Templeton Investment Management Limited
SE0014960431
1,58
2022-11-07
1,62
Acadian Asset Management LLC
SE0014960431
0,6
2022-09-02
0,71
Franklin Templeton Investment Management Limited
SE0014960431
1,7
2022-08-02
1,58
Franklin Templeton Investment Management Limited
SE0014960431
1,6
2022-07-27
1,7
Acadian Asset Management LLC
SE0014960431
0,56
2022-05-17
0,6
Franklin Templeton Investment Management Limited
SE0014960431
1,5
2022-05-09
1,6
Franklin Templeton Investment Management Limited
SE0014960431
1,44
2022-05-06
1,5
Franklin Templeton Investment Management Limited
SE0014960431
1,32
2022-04-08
1,44
Acadian Asset Management LLC
SE0014960431
0,6
2022-04-02
0,56
Franklin Templeton Investment Management Limited
SE0014960431
1,2
2022-03-17
1,32
Franklin Templeton Investment Management Limited
SE0014960431
1,14
2022-03-11
1,2
Franklin Templeton Investment Management Limited
SE0014960431
1,01
2022-03-09
1,14
Franklin Templeton Investment Management Limited
SE0014960431
0,94
2022-03-08
1,01
Franklin Templeton Investment Management Limited
SE0014960431
0,81
2022-03-04
0,94
Franklin Templeton Investment Management Limited
SE0014960431
0,73
2022-03-02
0,81
Acadian Asset Management LLC
SE0014960431
0,5
2022-03-01
0,6
Franklin Templeton Investment Management Limited
SE0014960431
0,61
2022-02-28
0,73
Franklin Templeton Investment Management Limited
SE0014960431
0,5
2022-02-23
0,61
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