INTEGRATED CORE STRATEGIES (US) LLC

NEW YORK, NY How do I update this listing?

Integrated Core Strategies (us) is based out of New York. Whalewisdom has at least 35 13D filings, and 458 13G filings The firm has no submitted 13F filings and does not appear to be an investment advisor.

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Current 13D/G Holdings
Stock Sector Shares Held Market Value Rank Source Source Date
Coty Inc. (COTY) CONSUMER STAPLES 41,068,796 431,633,045.96 1 13G 2019-03-29
United Therapeutics Corp (UTHR) HEALTH CARE 2,240,776 178,701,886.00 2 13G 2019-08-06
Nevro Corp (NVRO) HEALTH CARE 1,571,049 135,063,082.53 3 13G 2019-01-08
Jack In The Box, Inc (JACK) CONSUMER DISCRETIONARY 1,345,809 122,630,116.08 4 13G 2019-06-27
Natera Inc (NTRA) HEALTH CARE 3,543,775 116,235,820.00 5 13G 2019-04-15
SM Energy Co (SM) ENERGY 8,802,234 85,293,647.46 6 13G 2018-12-31
Radius Health Inc (RDUS) HEALTH CARE 2,730,291 70,304,993.25 7 13G 2019-05-28
SRC Energy Inc (SRCI) ENERGY 13,624,734 63,491,260.44 8 13G 2019-08-02
Oasis Petroleum Inc (OAS) ENERGY 17,968,151 62,169,802.46 9 13G 2019-07-25
Orion Engineered Carbons S.A (OEC) MATERIALS 3,016,236 50,401,303.56 10 13G 2019-06-03
AnaptysBio Inc (ANAB) HEALTH CARE 1,367,728 47,856,802.72 11 13G 2019-08-16
Unknown (unknown) 1,749,326 47,004,389.62 12 13G 2015-11-19
Corindus Vascular Robotics Inc (CVRS) HEALTH CARE 10,420,490 44,599,697.20 13 13G 2019-04-22
BJs Restaurants Inc. (BJRI) CONSUMER DISCRETIONARY 1,077,986 41,868,976.24 14 13G 2019-04-11
IGNYTA INC (RXDX) HEALTH CARE 1,519,210 40,942,709.50 15 13G 2015-10-16
ArQule, Inc. (ARQL) HEALTH CARE 5,468,817 39,211,417.89 16 13G 2019-05-01
MacroGenics Inc (MGNX) HEALTH CARE 2,802,472 35,759,542.72 17 13G 2019-05-15
Cytokinetics Inc (CYTK) HEALTH CARE 3,076,955 35,015,747.90 18 13G 2019-07-25
Spartan Energy Acquisition Corp (SPAQ) FINANCE 3,399,000 34,329,900.00 19 13G 2018-12-31
Nabors Industries Ltd. (NBR) ENERGY 18,218,637 34,068,851.19 20 13G 2019-04-01
TG Therapeutics Inc (TGTX) HEALTH CARE 5,914,259 33,208,564.29 21 13G 2019-03-01
Karyopharm Therapeutics Inc (KPTI) HEALTH CARE 3,372,566 32,444,084.92 22 13G 2019-07-18
Gores Holdings III Inc Units (GRSHU) FINANCE 2,950,000 31,122,500.00 23 13G 2018-09-07
Gores Holdings III Inc (GRSH) FINANCE 2,949,999 29,824,489.89 24 13G 2018-12-31
Kadmon Holdings Inc (KDMN) HEALTH CARE 7,898,673 29,146,103.37 25 13G 2019-11-12
Intersect ENT Inc (XENT) HEALTH CARE 1,637,358 27,851,459.58 26 13G 2019-02-07
Bonanza Creek Energy, Inc. (BCEI) ENERGY 1,197,586 26,813,950.54 27 13G 2018-12-31
Mosaic Acquisition Corp Class A (MOSC) FINANCE 2,492,212 25,744,549.96 28 13D 2019-09-18
Oxford Immunotec Global PLC (OXFD) HEALTH CARE 1,418,965 23,597,387.95 29 13G 2019-08-02
Gores Metropoulos Inc Units (GMHIU) FINANCE 2,026,000 21,475,600.00 30 13G 2019-02-01
Rigel Pharmaceuticals Inc (RIGL) HEALTH CARE 8,756,816 19,702,836.00 31 13G 2019-11-08
Thunder Bridge Acquisition II Ltd (THBR) 1,932,629 19,133,027.10 32 13G 2019-11-07
Cymabay Therapeutics Inc (CBAY) HEALTH CARE 3,698,225 18,934,912.00 33 13G 2019-07-23
BioCryst Pharmaceutical Inc. (BCRX) HEALTH CARE 6,194,004 17,776,791.48 34 13G 2019-05-22
Computer Programs and Systems Inc (CPSI) HEALTH CARE 706,472 15,973,331.92 35 13G 2019-02-27
DiamondPeak Holdings Corp (DPHC) FINANCE 1,600,000 15,840,000.00 36 13G 2019-11-11
Puma Biotechnology Inc (PBYI) HEALTH CARE 1,959,500 15,676,000.00 37 13G 2019-11-14
Health Insurance Innovations Inc (HIIQ) FINANCE 594,121 14,811,436.53 38 13G 2019-04-18
Invacare Corp (IVC) HEALTH CARE 1,735,031 13,012,732.50 39 13G 2019-08-26
Dynavax Technologies Corp (DVAX) HEALTH CARE 3,467,187 12,412,529.46 40 13G 2019-07-03
Affimed N.V. (AFMD) HEALTH CARE 3,415,071 10,040,308.74 41 13G 2018-12-31
Sientra Inc (SIEN) HEALTH CARE 1,531,402 9,923,484.96 42 13G 2019-03-12
Forum Energy Technologies Inc (FET) INDUSTRIALS 5,618,290 8,708,349.50 43 13G 2019-04-25
American Superconductor Corp. (AMSC) INDUSTRIALS 1,095,249 8,586,752.16 44 13G 2019-06-18
Abeona Therapeutics Inc (ABEO) HEALTH CARE 3,418,073 7,724,844.98 45 13G 2019-06-25
Adamas Pharmaceuticals Inc (ADMS) HEALTH CARE 1,377,398 7,045,390.77 46 13G 2019-02-26
Liquidia Technologies Inc (LQDA) HEALTH CARE 986,980 3,513,648.80 47 13G 2019-07-11
Catalyst Biosciences Inc (CBIO) HEALTH CARE 705,534 3,464,171.94 48 13G 2019-07-09
AUSPEX PHARMACEUTICALS INC COM (ASPX) HEALTH CARE 1,888,737 56,662.11 49 13D 2015-04-02
CONYERS PARK ACQUISITION CORPORATION (CPAAU) 2,250,000 50 13G 2019-07-18
SPARTAN ENERGY ACQUISITION CORP (SPAQ/U) 3,564,700 51 13G 2018-08-10
NEW PROVIDENCE ACQUISITION UNITS (NPAUU) 1,325,000 52 13G 2019-09-11
FINSERV ACQUISITION UNITS (FSRVU) 1,870,300 53 13G 2019-11-01
OSPREY TECHNOLOGY ACQUISITION REDEEMABLE UNITS CLASS A (SFTW/U) 1,313,600 54 13G 2019-11-01
EXPERIENCE INVESTMENT ORD SHS CLASS A (EXPC) 1,400,000 55 13G 2019-11-14

Active Schedule 13D and 13G events

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Form 4 - Recent Insider Transactions

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**EXPERIMENTAL** Current Hong Kong Exchange Long Positions

Updated daily

Holder Issuer Transaction Date Transaction Type Avg PPS Shares Involved Shares Owned % Capital Origin
CORE Capital Group Limited Hypebeast Ltd. 2016-04-11 Long 0.13 1,500,000,000 1,500,000,000 75.0% Hong Kong

Position History

Holder Issuer Transaction Date Transaction Type Avg PPS Shares Involved Shares Owned % Capital Origin

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