Positioner per emittent

Endast positioner från och med 2020-01-01 visas i listan nedan.

Hemnet Group AB (publ)

LEI-kod 5493008VIU67J3HUAR07
Summa procent 6,92

Aktuella positioner

PositionsinnehavareISINPosition i procent (%)PositionsdatumFöregående Position (%)
ALCUR FONDER ABSE00156719950,872025-11-201,06
Argonaut Capital Partners LLPSE00156719950,622025-11-200,6
AHL Partners LLPSE00156719950,722025-11-130,6
MECM LimitedSE00156719950,512025-11-13<0,5
Parvus Asset Management Jersey LimitedSE00156719950,982025-11-101,02
Wellington Management International LimitedSE00156719950,722025-11-070,6

Historiska positioner

PositionsinnehavareISINPosition i procent (%)PositionsdatumEfterföljande Position (%)
Argonaut Capital Partners LLPSE00156719950,62025-11-170,62
Marble Bar Asset Management LLPSE0015671995<0,52025-11-14
ALCUR FONDER ABSE00156719951,062025-11-140,87
ALCUR FONDER ABSE00156719951,12025-11-131,06
Marble Bar Asset Management LLPSE00156719950,562025-11-12<0,5
Argonaut Capital Partners LLPSE00156719950,572025-11-100,6
Marble Bar Asset Management LLPSE0015671995<0,52025-11-070,56
ALCUR FONDER ABSE00156719951,052025-11-071,1
Parvus Asset Management Jersey LimitedSE00156719951,022025-11-040,98
ALCUR FONDER ABSE00156719950,92025-10-311,05
AHL Partners LLPSE00156719950,62025-10-300,72
Wellington Management International LimitedSE00156719950,62025-10-280,72
ALCUR FONDER ABSE00156719950,82025-10-280,9
AHL Partners LLPSE00156719950,522025-10-270,6
AHL Partners LLPSE0015671995<0,52025-10-230,52
ALCUR FONDER ABSE00156719950,772025-10-230,8
Wellington Management International LimitedSE00156719950,512025-10-220,6
AHL Partners LLPSE00156719950,512025-10-22<0,5
ALCUR FONDER ABSE00156719950,892025-10-220,77
ALCUR FONDER ABSE00156719950,982025-10-210,89
ALCUR FONDER ABSE00156719951,092025-10-170,98
Parvus Asset Management Jersey LimitedSE00156719950,92025-10-151,02
MECM LimitedSE0015671995<0,52025-10-13
ALCUR FONDER ABSE00156719951,152025-10-131,09
Marble Bar Asset Management LLPSE00156719950,542025-10-10<0,5
ALCUR FONDER ABSE00156719951,262025-10-101,15
Parvus Asset Management Jersey LimitedSE00156719950,832025-10-090,9
ALCUR FONDER ABSE00156719951,32025-10-091,26
Parvus Asset Management Jersey LimitedSE00156719950,712025-10-010,83
MECM LimitedSE00156719950,542025-10-01<0,5
ALCUR FONDER ABSE00156719951,412025-10-011,3
ALCUR FONDER ABSE00156719951,352025-09-291,41
Parvus Asset Management Jersey LimitedSE00156719950,612025-09-220,71
Parvus Asset Management Jersey LimitedSE00156719950,512025-09-160,61
MECM LimitedSE0015671995<0,52025-09-120,54
ALCUR FONDER ABSE00156719951,22025-09-101,35
MECM LimitedSE00156719950,522025-09-03<0,5
MECM LimitedSE00156719950,632025-09-020,52
ALCUR FONDER ABSE00156719951,172025-09-021,2
ALCUR FONDER ABSE00156719951,22025-09-011,17
MECM LimitedSE00156719950,722025-08-290,63
ALCUR FONDER ABSE00156719951,112025-08-291,2
MECM LimitedSE00156719950,52025-08-280,72
ALCUR FONDER ABSE00156719951,062025-08-271,11
ALCUR FONDER ABSE00156719951,12025-07-241,06
ALCUR FONDER ABSE00156719951,042025-07-171,1
ALCUR FONDER ABSE00156719951,182025-07-151,04
ALCUR FONDER ABSE00156719951,242025-06-251,18
ALCUR FONDER ABSE00156719951,12025-06-121,24
ALCUR FONDER ABSE00156719951,022025-06-041,1
UBS Global Asset Management (UK) LtdSE0015671995<0,52025-06-03
ALCUR FONDER ABSE00156719950,912025-06-021,02
UBS Global Asset Management (UK) LtdSE00156719950,512025-05-30<0,5
UBS Global Asset Management (UK) LtdSE0015671995<0,52025-05-280,51
ALCUR FONDER ABSE00156719950,712025-05-220,91
ALCUR FONDER ABSE00156719950,622025-05-190,71
ALCUR FONDER ABSE00156719950,512025-05-140,62
UBS Global Asset Management (UK) LtdSE00156719950,512025-05-14<0,5
Citadel Advisors LLCSE0015671995<0,52023-06-16
Citadel Advisors LLCSE00156719950,522023-06-13<0,5
Citadel Advisors LLCSE0015671995<0,52023-06-120,52
Citadel Advisors LLCSE00156719950,592023-05-16<0,5
Citadel Advisors LLCSE00156719950,682023-05-050,59
Citadel Advisors LLCSE00156719950,792023-04-190,68
Citadel Advisors LLCSE00156719950,862023-04-140,79
Citadel Advisors LLCSE00156719950,912023-04-060,86
Citadel Advisors LLCSE00156719950,892023-04-040,91
Citadel Advisors LLCSE00156719950,922023-04-030,89
Citadel Advisors LLCSE00156719950,862023-03-100,92
Citadel Advisors LLCSE00156719950,72023-03-070,86
Citadel Advisors LLCSE00156719950,612023-02-240,7
Citadel Advisors LLCSE00156719950,512023-02-210,61
Citadel Advisors LLCSE0015671995<0,52023-01-310,51
Citadel Advisors LLCSE00156719950,672023-01-30<0,5
Citadel Advisors LLCSE00156719950,732023-01-270,67
Citadel Advisors LLCSE00156719950,62023-01-180,73
Citadel Advisors LLCSE00156719950,52023-01-130,6
Citadel Advisors LLCSE0015671995<0,52023-01-120,5
Citadel Advisors LLCSE00156719950,582023-01-03<0,5
Citadel Advisors LLCSE00156719950,62022-12-280,58
Citadel Advisors LLCSE00156719950,552022-12-160,6