Positioner per emittent

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

Dicot Pharma AB

LEI-kod 549300GX132RSE4OV407
Summa procent 1,84

Aktuella positioner

Positionsinnehavare ISIN Position i procent (%) Positionsdatum Föregående Position (%)
GSA Capital Partners LLP SE0011178458 0,61 2026-02-16 0,51
Brummer Multi-Strategy AB SE0011178458 0,54 2026-01-30 0,66

Historiska positioner

Positionsinnehavare ISIN Position i procent (%) Positionsdatum Efterföljande Position (%)
GSA Capital Partners LLP SE0011178458 0,51 2026-02-06 0,61
Brummer Multi-Strategy AB SE0011178458 0,66 2026-01-29 0,54
Brummer Multi-Strategy AB SE0011178458 0,97 2026-01-28 0,66
Brummer Multi-Strategy AB SE0011178458 1,32 2025-12-30 0,97
Citadel Securities (Europe) Limited SE0011178458 <0,5 2025-11-20
Citadel Securities (Europe) Limited SE0011178458 0,53 2025-11-19 <0,5
Citadel Securities (Europe) Limited SE0011178458 0,62 2025-11-14 0,53
Citadel Securities (Europe) Limited SE0011178458 0,57 2025-11-13 0,62
Citadel Securities (Europe) Limited SE0011178458 0,68 2025-11-11 0,57
Citadel Securities (Europe) Limited SE0011178458 0,59 2025-11-10 0,68
Citadel Securities (Europe) Limited SE0011178458 0,75 2025-11-07 0,59
Citadel Securities (Europe) Limited SE0011178458 0,84 2025-11-04 0,75
Citadel Securities (Europe) Limited SE0011178458 0,79 2025-10-30 0,84
Citadel Securities (Europe) Limited SE0011178458 0,56 2025-10-29 0,79
Citadel Securities (Europe) Limited SE0011178458 <0,5 2025-10-28 0,56
Brummer Multi-Strategy AB SE0011178458 1,14 2025-10-27 1,32
Citadel Securities (Europe) Limited SE0011178458 0,79 2025-10-24 <0,5
Brummer Multi-Strategy AB SE0011178458 1,42 2025-10-23 1,14
Brummer Multi-Strategy AB SE0011178458 1,14 2025-09-02 1,42
Brummer Multi-Strategy AB SE0011178458 0,9 2025-08-27 1,14
Brummer Multi-Strategy AB SE0011178458 0,8 2025-08-26 0,9
GUEVOURA FUND SE0011178458 <0,5 2024-09-17
GUEVOURA FUND SE0011178458 1,25 2024-09-10 <0,5
GUEVOURA FUND SE0011178458 2,61 2024-09-06 1,25
GUEVOURA FUND SE0011178458 2,55 2024-09-05 2,61
GUEVOURA FUND SE0011178458 2,4 2024-09-04 2,55
GUEVOURA FUND SE0011178458 2,37 2024-09-03 2,4
GUEVOURA FUND SE0011178458 2,25 2024-09-02 2,37
GUEVOURA FUND SE0011178458 2,1 2024-08-30 2,25
GUEVOURA FUND SE0011178458 1,81 2024-08-27 2,1
GUEVOURA FUND SE0011178458 1,43 2024-08-26 1,81
GUEVOURA FUND SE0011178458 1,04 2024-08-23 1,43
GUEVOURA FUND SE0011178458 0,95 2024-08-22 1,04
GUEVOURA FUND SE0011178458 0,7 2024-08-20 0,95