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 36 13D filings, 545 13G filings, and 1 Form 4 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
Axonics Modulation Technologies Inc (AXNX) HEALTH CARE 1,935,138 49,171,856.58 1 13G 2019-12-31
Jack In The Box, Inc (JACK) CONSUMER DISCRETIONARY 1,348,020 47,248,101.00 2 13G 2019-12-31
XBiotech, Inc. (unknown) 1,749,326 47,004,389.62 3 13G 2015-11-19
Primo Water Corp (PRMW) CONSUMER DISCRETIONARY 3,065,757 44,790,709.77 4 13G 2020-06-24
Corindus Vascular Robotics Inc (CVRS) HEALTH CARE 10,420,490 44,495,492.30 5 13G 2019-04-22
IGNYTA INC (RXDX) HEALTH CARE 1,519,210 40,942,709.50 6 13G 2015-10-16
Gores Holdings III Inc Units (GRSHU) FINANCE 2,950,000 35,400,000.00 7 13G 2018-09-07
Spartan Energy Acquisition Corp (SPAQ) FINANCE 3,305,890 33,455,606.80 8 13G 2019-12-31
Super Micro Computer Inc (SMCI) INFORMATION TECHNOLOGY 1,048,622 32,811,382.38 9 13G 2020-06-15
Retrophin Inc (RTRX) MATERIALS 2,223,250 32,437,217.50 10 13G 2020-01-24
Vivint Smart Home Inc (VVNT) FINANCE 2,492,212 31,252,338.48 11 13D 2019-09-18
Thunder Bridge Acquisition II, Ltd. (THBR) FINANCE 2,360,177 23,247,743.45 12 13G 2019-12-31
Gores Metropoulos Inc (GMHI) FINANCE 2,104,887 21,385,651.92 13 13G 2020-03-17
Gores Metropoulos Inc Units (GMHIU) FINANCE 2,026,000 20,932,632.00 14 13G 2019-02-01
BioCryst Pharmaceutical Inc. (BCRX) HEALTH CARE 9,975,477 19,950,954.00 15 13G 2019-12-31
CHP Merger Corp (CHPMU) FINANCE 2,000,000 19,780,000.00 16 13G 2019-11-22
Pure Acquisition Corp (PACQ) FINANCE 1,800,000 18,702,000.00 17 13G 2020-03-13
SI-BONE Inc (SIBN) HEALTH CARE 1,189,484 18,603,529.76 18 13G 2020-06-25
PAE Inc (PAE) FINANCE 2,850,000 18,496,500.00 19 13G 2019-12-31
DiamondPeak Holdings Corp (DPHC) FINANCE 1,643,799 17,095,509.60 20 13G 2019-12-31
MacroGenics Inc (MGNX) HEALTH CARE 2,914,831 16,964,316.42 21 13G 2019-12-31
Puma Biotechnology Inc (PBYI) HEALTH CARE 1,950,306 16,460,582.64 22 13G 2019-12-31
Acamar Partners Acquisition Corp (ACAM) FINANCE 1,600,000 15,760,000.00 23 13G 2020-03-19
Live Oak Acquisition Corp. (LOAKU) FINANCE 1,560,000 15,412,800.00 24 13G 2020-05-06
Trine Acquisition Corp (TRNE) FINANCE 1,500,365 14,913,628.10 25 13G 2019-12-31
dMY Technology Group, Inc. (DMYT.UN) FINANCE 1,503,300 14,777,439.00 26 13G 2020-03-11
Experience Investment Corp. Class A (EXPC) FINANCE 1,509,195 14,593,915.65 27 13G 2019-12-31
Alta Equipment Group Inc (ALTG) FINANCE 1,724,439 14,433,554.43 28 13G 2020-06-16
SCVX Corp. (SCVX) FINANCE 1,414,300 13,435,850.00 29 13G 2020-03-12
Rigel Pharmaceuticals Inc (RIGL) HEALTH CARE 8,525,418 13,299,652.08 30 13G 2019-12-31
Oaktree Acquisition Corp. (OAC) FINANCE 1,310,360 13,103,600.00 31 13G 2019-12-31
New Providence Acquisition Corp. Class A (NPA) FINANCE 1,324,961 12,944,868.97 32 13G 2019-12-31
Silver Spike Acquisition Corp. (SSPK) FINANCE 1,250,006 12,287,558.98 33 13G 2020-03-11
Affimed N.V. (AFMD) HEALTH CARE 4,625,033 11,377,581.18 34 13G 2020-05-18
Camping World Holdings Inc (CWH) CONSUMER DISCRETIONARY 1,961,636 11,161,708.84 35 13G 2020-01-14
Applied Genetic Technologies Corp (AGTC) HEALTH CARE 1,511,561 8,479,857.21 36 13G 2020-06-10
Sientra Inc (SIEN) HEALTH CARE 2,736,579 5,445,792.21 37 13G 2019-12-31
Megalith Financial Acquisition Corp (MFAC) FINANCE 500,000 5,270,000.00 38 13G 2020-05-26
Catalyst Biosciences Inc (CBIO) HEALTH CARE 717,365 3,134,885.05 39 13G 2019-12-31
AUSPEX PHARMACEUTICALS INC COM (ASPX) HEALTH CARE 1,888,737 56,662.11 40 13D 2015-04-02
CONYERS PARK ACQUISITION CORPORATION (CPAAU) 2,250,000 41 13G 2019-07-18
SPARTAN ENERGY ACQUISITION CORP (SPAQ/U) 3,564,700 42 13G 2018-08-10
NEW PROVIDENCE ACQUISITION UNITS (NPAUU) 1,325,000 43 13G 2019-09-11
FINSERV ACQUISITION UNITS (FSRVU) 1,870,300 44 13G 2019-11-01
CIIG MERGER UNITS (CIICU) 1,865,119 45 13G 2019-12-13
HEALTHCARE MERGER UNITS (HCCOU) 1,570,000 46 13G 2019-12-13
FINSERV ACQUISITION ORD SHS CLASS A (FSRV) 1,881,689 47 13G 2019-12-31
GORES HOLDINGS IV UNITS (GHIVU) 2,491,800 48 13G 2020-01-24
CITIC CAPITAL ACQUISITION UNITS (CCAC/U) 1,581,000 49 13G 2020-03-11
FLYING EAGLE ACQUISITION REDEEMABLE UNITS CLASS A (FEAC/U) 5,940,000 50 13G 2020-03-06
DFP HEALTHCARE ACQUISITIONS UNITS (DFPHU) 1,700,000 51 13G 2020-03-11
CC Neuberger Principal Holdings I (PCPLU) FINANCE 2,700,000 52 13G 2020-04-24
Social Capital Hedosophia Holdings Corp. III (IPOC/U) FINANCE 5,400,000 53 13G 2020-04-22
Fortress Value Acquisition Corp. (FVACU) FINANCE 2,500,000 54 13G 2020-04-30
WHOLE EARTH BRANDS ORD SHS CLASS A (FREE) 2,235,461 55 13G 2020-06-25
Kensington Capital Acquisition Corp. Units each consisting of one share of Class A common stock and one-half of one redeemable warrant (KCAC.U) 1,371,943 56 13G 2020-06-26

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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