Positioner per emittent

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

New Wave Group AB

LEI-kod 5493006EIYZZYQILKS31
Summa procent 4,12

Aktuella positioner

Positionsinnehavare ISIN Position i procent (%) Positionsdatum Föregående Position (%)
Qube Research & Technologies Limited SE0020356970 0,61 2026-01-19 0,57
High Ground Investment Management LLP SE0020356970 0,62 2025-10-06 0,5

Historiska positioner

Positionsinnehavare ISIN Position i procent (%) Positionsdatum Efterföljande Position (%)
BlackRock Advisors LLC SE0020356970 <0,5 2026-01-13
Qube Research & Technologies Limited SE0020356970 0,57 2026-01-12 0,61
BlackRock Advisors LLC SE0020356970 0,58 2025-12-12 <0,5
BlackRock Advisors LLC SE0020356970 0,6 2025-12-09 0,58
BlackRock Advisors LLC SE0020356970 0,58 2025-12-03 0,6
Qube Research & Technologies Limited SE0020356970 0,61 2025-11-18 0,57
Qube Research & Technologies Limited SE0020356970 0,51 2025-11-05 0,61
Qube Research & Technologies Limited SE0020356970 <0,5 2025-10-21 0,51
BlackRock Advisors LLC SE0020356970 0,6 2025-09-09 0,58
Qube Research & Technologies Limited SE0020356970 0,5 2025-09-03 <0,5
BlackRock Advisors LLC SE0020356970 0,51 2025-09-02 0,6
FIL Investments International SE0020356970 <0,5 2025-06-11
FIL Investments International SE0020356970 0,55 2025-06-11 <0,5
FIL Investments International SE0020356970 0,69 2025-04-29 0,55
FIL Investments International SE0020356970 0,76 2025-04-10 0,69
High Ground Investment Management LLP SE0020356970 0,5 2025-04-04 0,62
FIL Investments International SE0020356970 0,68 2025-02-10 0,76
FIL Investments International SE0020356970 0,77 2025-02-07 0,68
FIL Investments International SE0020356970 0,99 2025-02-06 0,77
FIL Investments International SE0020356970 1,04 2024-11-22 0,99
FIL Investments International SE0020356970 0,9 2024-10-07 1,04
FIL Investments International SE0020356970 0,81 2024-04-25 0,9
FIL Investments International SE0020356970 0,76 2024-02-13 0,81
FIL Investments International SE0020356970 0,89 2024-02-08 0,76
FIL Investments International SE0020356970 0,91 2024-01-29 0,89
FIL Investments International SE0020356970 0,84 2023-10-16 0,91
FIL Investments International SE0020356970 0,75 2023-09-08 0,84
FIL Investments International SE0020356970 0,67 2023-08-18 0,75
FIL Investments International SE0020356970 0,55 2023-08-17 0,67
Square Circle IA LP SE0020356970 <0,5 2023-08-16
Square Circle IA LP SE0020356970 0,53 2023-06-14 <0,5
Citadel Advisors LLC SE0000426546 <0,5 2023-01-25
Citadel Advisors LLC SE0000426546 0,51 2023-01-19 <0,5
Paradigm Capital Value Fund SICAV SE0000426546 <0,5 2023-01-10
Paradigm Capital Value Fund SICAV SE0000426546 0,57 2022-12-07 <0,5
Citadel Advisors LLC SE0000426546 <0,5 2022-11-23
Citadel Advisors LLC SE0000426546 0,54 2022-11-10 <0,5
Citadel Advisors LLC SE0000426546 <0,5 2022-11-08 0,54
Paradigm Capital Value Fund SICAV SE0000426546 0,6 2022-11-04 0,57
Paradigm Capital Value Fund SICAV SE0000426546 0,5 2022-10-27 0,6
Citadel Advisors LLC SE0000426546 0,69 2022-10-26 <0,5
Citadel Advisors LLC SE0000426546 0,7 2022-10-25 0,69
Voleon Capital Management LP SE0000426546 <0,5 2022-10-17
Citadel Advisors LLC SE0000426546 0,61 2022-10-12 0,7
Voleon Capital Management LP SE0000426546 0,5 2022-10-07 <0,5
Citadel Advisors LLC SE0000426546 0,5 2022-10-05 0,61
Citadel Advisors LLC SE0000426546 <0,5 2022-09-05 0,5
Citadel Advisors LLC SE0000426546 0,5 2022-09-02 <0,5
Citadel Advisors LLC SE0000426546 <0,5 2022-09-01 0,5
Citadel Advisors LLC SE0000426546 0,53 2022-08-26 <0,5
Citadel Advisors LLC SE0000426546 <0,5 2022-08-25 0,53
Citadel Advisors LLC SE0000426546 0,52 2022-08-22 <0,5