Positions per issuer

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

Truecaller AB

LEI code 549300TEYF1FA5G5GK26
Sum percent 8.11

Current positions

Position holder ISIN Position in percent (%) Position date Previous Position (%)
Wellington Management International Limited SE0016787071 0,7 2023-08-15 0,69
Ennismore Fund Management Ltd SE0016787071 0,81 2023-08-09 0,7
Yiheng Capital Management LP SE0016787071 4,22 2023-07-12 4,12

Historic positions

Position holder ISIN Position in percent (%) Position date Following position (%)
Wellington Management International Limited SE0016787071 0,69 2023-08-09 0,7
Wellington Management International Limited SE0016787071 0,51 2023-07-31 0,69
Yiheng Capital Management LP SE0016787071 4,12 2023-07-04 4,22
Yiheng Capital Management LP SE0016787071 4 2023-07-03 4,12
Yiheng Capital Management LP SE0016787071 3,9 2023-06-15 4
Yiheng Capital Management LP SE0016787071 3,84 2023-06-12 3,9
Yiheng Capital Management LP SE0016787071 3,7 2023-05-25 3,84
Yiheng Capital Management LP SE0016787071 3,61 2023-05-22 3,7
Yiheng Capital Management LP SE0016787071 3,53 2023-05-16 3,61
Yiheng Capital Management LP SE0016787071 3,41 2023-05-09 3,53
Yiheng Capital Management LP SE0016787071 3,3 2023-04-14 3,41
Yiheng Capital Management LP SE0016787071 3,22 2023-04-11 3,3
Yiheng Capital Management LP SE0016787071 3,18 2023-04-06 3,22
Yiheng Capital Management LP SE0016787071 3,03 2023-03-31 3,18
Yiheng Capital Management LP SE0016787071 2,9 2023-03-27 3,03
Keyrock Capital Master Fund Ltd SE0016787071 <0,5 2023-03-24
WORLDQUANT LLC SE0016787071 <0,5 2023-03-10
WORLDQUANT LLC SE0016787071 0,52 2023-03-03 <0,5
Ennismore Fund Management Ltd SE0016787071 0,7 2023-02-28 0,81
Ennismore Fund Management Ltd SE0016787071 0,65 2023-02-27 0,7
Keyrock Capital Master Fund Ltd SE0016787071 0,59 2023-02-27 <0,5
EMINENCE CAPITAL LP SE0016787071 <0,5 2023-02-22
Keyrock Capital Master Fund Ltd SE0016787071 0,68 2023-02-22 0,59
Yiheng Capital Management LP SE0016787071 2,95 2023-02-07 2,9
Yiheng Capital Management LP SE0016787071 2,82 2023-02-03 2,95
Yiheng Capital Management LP SE0016787071 2,75 2023-02-02 2,82
Yiheng Capital Management LP SE0016787071 2,6 2023-01-30 2,75
Yiheng Capital Management LP SE0016787071 2,55 2023-01-27 2,6
Yiheng Capital Management LP SE0016787071 2,41 2023-01-25 2,55
Yiheng Capital Management LP SE0016787071 2,31 2023-01-23 2,41
Kairos Investment Management Limited SE0016787071 <0,5 2023-01-12
Yiheng Capital Management LP SE0016787071 2,21 2023-01-11 2,31
Yiheng Capital Management LP SE0016787071 2,06 2023-01-09 2,21
Yiheng Capital Management LP SE0016787071 1,94 2023-01-03 2,06
Yiheng Capital Management LP SE0016787071 1,83 2022-12-28 1,94
Yiheng Capital Management LP SE0016787071 1,8 2022-12-21 1,83
Yiheng Capital Management LP SE0016787071 1,68 2022-12-13 1,8
Yiheng Capital Management LP SE0016787071 1,51 2022-11-28 1,68
Kairos Investment Management Limited SE0016787071 0,54 2022-11-22 <0,5
Keyrock Capital Master Fund Ltd SE0016787071 0,73 2022-11-22 0,68
Keyrock Capital Master Fund Ltd SE0016787071 0,65 2022-11-21 0,73
Keyrock Capital Master Fund Ltd SE0016787071 0,59 2022-11-18 0,65
Kairos Investment Management Limited SE0016787071 <0,5 2022-11-09 0,54
Kairos Investment Management Limited SE0016787071 0,51 2022-10-31 <0,5
Ennismore Fund Management Ltd SE0016787071 0,56 2022-09-30 0,65
Yiheng Capital Management LP SE0016787071 1,3 2022-08-22 1,51
Yiheng Capital Management LP SE0016787071 1,2 2022-08-16 1,3
Yiheng Capital Management LP SE0016787071 1,09 2022-08-02 1,2
Ennismore Fund Management Ltd SE0016787071 <0,5 2022-08-01 0,56
Yiheng Capital Management LP SE0016787071 1,01 2022-07-28 1,09
Yiheng Capital Management LP SE0016787071 0,9 2022-07-25 1,01
EMINENCE CAPITAL LP SE0016787071 0,58 2022-07-22 <0,5
Yiheng Capital Management LP SE0016787071 0,8 2022-06-30 0,9
Yiheng Capital Management LP SE0016787071 0,71 2022-06-22 0,8
Yiheng Capital Management LP SE0016787071 0,61 2022-06-16 0,71
Yiheng Capital Management LP SE0016787071 0,51 2022-06-08 0,61
Ennismore Fund Management Ltd SE0016787071 0,56 2022-05-23 <0,5