Schedule 13D and 13G Filings By Day

View filings sent in on a given day. This is not the same as the event date of the transaction triggering the filing. To see all 13D/G filings ordered by event date, use the 13D/G Search Page instead.

Current View: filings sent in on 08/06/2019

Schedule 13D's and 13G's (Max of 250 shown)
Event Date Filed By Subject Company Ticker Total
Reported Shares
13F Reported Shares for Q2 2019 % Ownership Previous transaction 13D Reason
08/06/2019 SC 13D/A Backtest MACANDREWS & FORBES INC. vTv Therapeutics Inc VTVT 47,448,618 81.50% SC 13D/A Filing on 2019-07-09: 47,448,618 shares reported
08/06/2019 SC 13D/A Backtest ICAHN CARL C Xerox Corp. (Haloid Co.) XRX 23,456,087 23,456,087 10.60% 13F Filing on 2019-03-31: 23,456,087 shares reported Reason
08/05/2019 SC 13D/A Backtest BOARD OF DIRECTORS OF METLIFE INC MetLife Inc. MET 143,680,516 15.30% SC 13D/A Filing on 2019-05-07: 145,393,753 shares reported Reason
08/05/2019 SC 13D/A Backtest KIEN HUAT REALTY III LTD Empire Resorts Inc NYNY 32,614,606 85.57% SC 13D/A Filing on 2019-07-25: 32,614,606 shares reported Reason
08/05/2019 SC 13D/A Backtest ENGAGED CAPITAL LLC Apogee Enterprises, Inc. APOG 1,689,332 1,689,332 6.40% 13F Filing on 2019-03-31: 1,689,332 shares reported Reason
08/05/2019 SC 13D/A Backtest OAK MANAGEMENT CORP Kratos Defense & Security Solutions Inc KTOS 1,396,239 12,934,207 1.31% 13F Filing on 2019-03-31: 12,934,207 shares reported
08/05/2019 SC 13D/A Backtest COOPERMAN LEON G New Media Investment Group Inc NEWM 5,816,600 3,536,400 9.61% SC 13D/A Filing on 2019-07-29: 5,002,690 shares reported Reason
08/05/2019 SC 13G Backtest POINT72 ASSET MANAGEMENT, L.P. Luckin Coffee Inc LK 17,015,704 1,363,863 5.10%
08/02/2019 SC 13G LINDEN CAPITAL L.P. NETFIN ACQUISITION CORP. 1,500,000 5.80%
08/02/2019 SC 13G Backtest EMPERY ASSET MANAGEMENT, LP Obalon Therapeutics Inc OBLN 550,000 9.99%
08/02/2019 SC 13G Backtest SABBY MANAGEMENT, LLC Obalon Therapeutics Inc OBLN 556,771 9.99%
08/02/2019 SC 13D Backtest VA PARTNERS I, LLC Arcosa Inc ACA 3,473,000 7.20% SC 13D Filing on 2019-06-12: 4,240,963 shares reported
08/02/2019 SC 13G Backtest INTEGRATED CORE STRATEGIES (US) LLC SRC Energy Inc SRCI 13,624,734 5.60% SC 13G/A Filing on 2016-12-31: 2,302,554 shares reported
08/02/2019 SC 13D/A Backtest STONEPEAK CATARINA HOLDINGS LLC Sanchez Midstream Partners LP SNMP 2,312,100 11.40% SC 13D/A Filing on 2018-08-21: 31,704,187 shares reported Reason
08/02/2019 SC 13D/A NATIONAL COMMERCIAL BANK TCG BDC II, INC. 4,479,731 19.33% Reason
08/01/2019 SC 13D/A Backtest ELLIOTT ASSOCIATES, L.P. Peabody Energy Corp BTU 28,841,201 19.10% SC 13D/A Filing on 2018-08-14: 28,166,201 shares reported
08/01/2019 SC 13G Backtest NORTH PEAK CAPITAL MANAGEMENT, LLC Gogo Inc GOGO 4,598,380 3,404,355 5.20% 13F Filing on 2019-03-31: 2,780,647 shares reported
07/31/2019 SC 13G/A Backtest NEW YORK LIFE INVESTMENT MANAGEMENT LLC IQ Enhanced Core Bond U.S. ETF AGGE 4,289,835 4,382,224 87.55% SC 13G/A Filing on 2019-06-30: 4,382,234 shares reported
07/31/2019 SC 13G/A Backtest NEW YORK LIFE INVESTMENT MANAGEMENT LLC IQ Enhanced Core Plus Bond U.S. ETF AGGP 2,649,915 2,870,106 35.33% SC 13G/A Filing on 2019-06-30: 2,870,116 shares reported
07/31/2019 SC 13G/A Backtest NEW YORK LIFE INVESTMENT MANAGEMENT LLC IQ 500 International ETF IQIN 4,289,835 2,077,583 82.17% SC 13G/A Filing on 2019-06-30: 2,077,593 shares reported
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