Positions per issuer

Only positions from 2020-01-01 are shown in the view below.

Xvivo Perfusion Aktiebolag

LEI code549300G2464FYLS14B41
Sum percent9.7

Current positions

Position holderISINPosition in percent (%)Position datePrevious Position (%)
Citadel Advisors LLCSE00048407181,072025-09-121,14
Winton Capital Management LimitedSE00048407180,592025-09-100,6
Acadian Asset Management LLCSE00048407180,782025-09-080,89
BlackRock Advisors LLCSE00048407180,52025-09-02<0,5
Marchant MC LtdSE00048407181,452025-08-270,73
JPMorgan Asset Management (UK) LtdSE00048407181,322025-08-011,29

Historic positions

Position holderISINPosition in percent (%)Position dateFollowing position (%)
D E Shaw Co LPSE0004840718<0,52025-09-05
Winton Capital Management LimitedSE00048407180,62025-09-050,59
Qube Research & Technologies LimitedSE0004840718<0,52025-09-05
Citadel Advisors LLCSE00048407181,142025-09-011,07
Acadian Asset Management LLCSE00048407180,892025-08-280,78
D E Shaw Co LPSE00048407180,592025-08-28<0,5
Acadian Asset Management LLCSE00048407180,92025-08-270,89
Citadel Advisors LLCSE00048407181,032025-08-271,14
Qube Research & Technologies LimitedSE00048407180,592025-08-18<0,5
Citadel Advisors LLCSE00048407180,92025-08-181,03
Qube Research & Technologies LimitedSE00048407180,62025-08-150,59
Qube Research & Technologies LimitedSE00048407180,592025-08-140,6
Acadian Asset Management LLCSE00048407180,812025-08-120,9
Citadel Advisors LLCSE00048407180,812025-08-110,9
Winton Capital Management LimitedSE00048407180,52025-08-080,6
Qube Research & Technologies LimitedSE00048407180,692025-08-070,59
Citadel Advisors LLCSE00048407180,712025-08-060,81
Acadian Asset Management LLCSE00048407180,72025-08-050,81
Citadel Advisors LLCSE00048407180,682025-08-050,71
Citadel Advisors LLCSE00048407180,72025-08-040,68
Acadian Asset Management LLCSE00048407180,612025-07-310,7
Qube Research & Technologies LimitedSE00048407180,72025-07-310,69
Acadian Asset Management LLCSE00048407180,552025-07-300,61
Qube Research & Technologies LimitedSE00048407180,692025-07-290,7
Citadel Advisors LLCSE00048407180,632025-07-290,7
Citadel Advisors LLCSE00048407180,592025-07-240,63
Citadel Advisors LLCSE00048407180,692025-07-160,59
Citadel Advisors LLCSE00048407180,742025-07-150,69
Marchant MC LtdSE00048407180,732025-07-141,45
D E Shaw Co LPSE00048407180,652025-07-140,59
JPMorgan Asset Management (UK) LtdSE00048407181,292025-07-111,32
Citadel Advisors LLCSE00048407180,872025-07-110,74
D E Shaw Co LPSE00048407180,592025-07-110,65
Citadel Advisors LLCSE00048407180,72025-07-030,87
JPMorgan Asset Management (UK) LtdSE000484071812025-06-301,29
Marchant MC LtdSE00048407180,612025-06-250,73
Marchant MC LtdSE00048407180,542025-06-240,61
JPMorgan Asset Management (UK) LtdSE00048407180,932025-06-231
Citadel Advisors LLCSE00048407180,632025-06-180,7
Citadel Advisors LLCSE00048407180,512025-06-110,63
JPMorgan Asset Management (UK) LtdSE00048407180,82025-04-080,93
JPMorgan Asset Management (UK) LtdSE00048407180,672025-04-070,8
JPMorgan Asset Management (UK) LtdSE00048407180,552025-04-040,67
Franklin Templeton Investment Management LimitedSE0004840718<0,52024-08-23
Franklin Templeton Investment Management LimitedSE00048407180,512024-07-26<0,5
JPMorgan Asset Management (UK) LtdSE0004840718<0,52024-04-24
JPMorgan Asset Management (UK) LtdSE00048407180,582024-04-19<0,5
JPMorgan Asset Management (UK) LtdSE00048407180,682024-04-120,58
JPMorgan Asset Management (UK) LtdSE00048407180,712024-02-190,68
JPMorgan Asset Management (UK) LtdSE0004840718<0,52022-11-14
JPMorgan Asset Management (UK) LtdSE00048407180,512022-08-03<0,5