USA
Meldepflichtige Eigengeschäfte von Führungskräften (Directors' Dealings) gemäß Art. 19 MAR – wer im eigenen Unternehmen kauft und verkauft.
| Unternehmen | Anz. Insider | Vol. Käufe | Vol. Verkäufe | Differenz ↓ |
|---|---|---|---|---|
| SAVERONE 2014 LTD. | 1 | 2.389.881.600 $ | 0 $ | 2.389.881.600 $ |
| DIAMETER DYNAMIC CREDIT FUND | 1 | 50.000.000 $ | 0 $ | 50.000.000 $ |
| QUANTINUUM INC. | 11 | 24.661.920 $ | 0 $ | 24.661.920 $ |
| MEXICO FUND INC | 1 | 1.124.490 $ | 0 $ | 1.124.490 $ |
| NATIONAL VISION HOLDINGS, INC. | 1 | 776.000 $ | 0 $ | 776.000 $ |
| NEW GERMANY FUND INC | 1 | 733.644 $ | 0 $ | 733.644 $ |
| LIQTECH INTERNATIONAL INC | 1 | 700.000 $ | 0 $ | 700.000 $ |
| 51TALK ONLINE EDUCATION GROUP | 1 | 698.036 $ | 0 $ | 698.036 $ |
| PEBBLEBROOK HOTEL TRUST | 1 | 678.600 $ | 0 $ | 678.600 $ |
| HWH INTERNATIONAL INC. | 1 | 500.000 $ | 0 $ | 500.000 $ |
| GLOBAL PARTNERS LP | 1 | 493.950 $ | 0 $ | 493.950 $ |
| HORIZON TECHNOLOGY FINANCE CORP | 1 | 434.000 $ | 0 $ | 434.000 $ |
| WORK MEDICAL TECHNOLOGY GROUP LTD | 1 | 388.601 $ | 0 $ | 388.601 $ |
| BURKE & HERBERT FINANCIAL SERVICES CORP. | 1 | 313.796 $ | 0 $ | 313.796 $ |
| TETRA TECHNOLOGIES INC | 1 | 216.898 $ | 0 $ | 216.898 $ |
| UNITED FIRE GROUP INC | 1 | 203.535 $ | 0 $ | 203.535 $ |
| HUB CYBER SECURITY LTD. | 1 | 664.380 $ | 461.271 $ | 203.109 $ |
| STAR EQUITY HOLDINGS, INC. | 3 | 199.852 $ | 0 $ | 199.852 $ |
| CRESUD INC | 1 | 199.290 $ | 0 $ | 199.290 $ |
| PICS N.V. | 1 | 199.045 $ | 0 $ | 199.045 $ |
| ARDENT HEALTH, INC. | 2 | 186.400 $ | 0 $ | 186.400 $ |
| HIGHLAND OPPORTUNITIES & INCOME FUND | 1 | 166.472 $ | 0 $ | 166.472 $ |
| ENVIRI CORP | 1 | 160.410 $ | 0 $ | 160.410 $ |
| TWFG, INC. | 1 | 152.974 $ | 0 $ | 152.974 $ |
| MASTERBRAND, INC. | 2 | 145.040 $ | 0 $ | 145.040 $ |
| TAIWAN SEMICONDUCTOR MANUFACTURING CO LTD | 31 | 125.721 $ | 0 $ | 125.721 $ |
| TONIX PHARMACEUTICALS HOLDING CORP. | 2 | 117.199 $ | 0 $ | 117.199 $ |
| MATADOR RESOURCES CO | 1 | 112.500 $ | 0 $ | 112.500 $ |
| LAIRD SUPERFOOD, INC. | 1 | 107.589 $ | 0 $ | 107.589 $ |
| KINSALE CAPITAL GROUP, INC. | 1 | 100.320 $ | 0 $ | 100.320 $ |
| ASPIRA WOMEN'S HEALTH INC. | 1 | 100.000 $ | 0 $ | 100.000 $ |
| SOPHIA GENETICS SA | 1 | 99.000 $ | 0 $ | 99.000 $ |
| CLICK HOLDINGS LTD. | 1 | 97.100 $ | 0 $ | 97.100 $ |
| KRISPY KREME, INC. | 1 | 87.167 $ | 0 $ | 87.167 $ |
| GEN DIGITAL INC. | 1 | 81.171 $ | 0 $ | 81.171 $ |
| CAVA GROUP, INC. | 1 | 70.000 $ | 0 $ | 70.000 $ |
| ALPHA COGNITION INC. | 1 | 58.596 $ | 0 $ | 58.596 $ |
| QFIN HOLDINGS, INC. | 1 | 57.640 $ | 0 $ | 57.640 $ |
| BAOZUN INC. | 1 | 54.200 $ | 0 $ | 54.200 $ |
| GRANITE RIDGE RESOURCES, INC. | 1 | 50.350 $ | 0 $ | 50.350 $ |
| MSC INCOME FUND, INC. | 1 | 50.030 $ | 0 $ | 50.030 $ |
| WORKSPORT LTD | 1 | 50.000 $ | 0 $ | 50.000 $ |
| VISION MARINE TECHNOLOGIES INC. | 1 | 60.434 $ | 16.567 $ | 43.867 $ |
| PETMED EXPRESS INC | 1 | 43.725 $ | 0 $ | 43.725 $ |
| FUTUREFUEL CORP. | 1 | 42.800 $ | 0 $ | 42.800 $ |
| AVITA MEDICAL, INC. | 1 | 40.949 $ | 0 $ | 40.949 $ |
| FLOWERS FOODS INC | 1 | 37.542 $ | 0 $ | 37.542 $ |
| EDIBLE GARDEN AG INC | 1 | 29.100 $ | 0 $ | 29.100 $ |
| GREENLAND ENERGY CO | 1 | 27.698 $ | 0 $ | 27.698 $ |
| ESS TECH, INC. | 1 | 25.660 $ | 0 $ | 25.660 $ |
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