Investor Bellevue Capital Partners, LLC
13D/G Filings

This page shows a list of all the recent 13D/G filings made by Bellevue Capital Partners, LLC . Schedule 13D is commonly referred to as a “beneficial ownership report.” The term "beneficial owner" is defined under SEC rules. It includes any person who directly or indirectly shares voting power or investment power (the power to sell the security).

When a person or group of persons acquires beneficial ownership of more than 5% of a voting class of a company’s equity securities, they are required to file a Schedule 13D within ten days after the purchase. Click the link icon to see the full transaction history.

Date Form Target Prev
Shares
Current
Shares
Change
(Percent)
Ownership
(Percent)
Change
(Percent)
2025-06-18 13D/A GNL / Global Net Lease, Inc. 21,685,012 21,685,012
2025-06-13 13D/A GNL / Global Net Lease, Inc. 29,388,012 21,685,012
2025-04-16 13D/A NYC / American Strategic Investment Co. 1,513,832 1,541,517
2025-02-13 13D/A NYC / American Strategic Investment Co. 1,513,832
2025-01-17 13D/A NYC / American Strategic Investment Co. 1,079,961 1,486,412
2024-07-18 13D/A US64966K3P60 / iShares NYSE Composite Index Fund 1,332,430 1,458,284
2024-06-26 13D/A GNL / Global Net Lease, Inc. 34,799,562 29,388,012
2024-05-03 13D/A US64966K3P60 / iShares NYSE Composite Index Fund 1,248,887 1,332,430
2024-04-03 13D/A US64966K3P60 / iShares NYSE Composite Index Fund 1,157,712 1,248,887
2024-03-05 13D/A US64966K3P60 / iShares NYSE Composite Index Fund 1,086,105 1,157,712
2023-11-22 13D/A US64966K3P60 / iShares NYSE Composite Index Fund 832,525 1,086,105
2023-11-08 13D/A NYC / American Strategic Investment Co. 1,079,961
2023-09-22 13D GNL / Global Net Lease, Inc. 34,799,562
2023-04-18 13D/A US64966K3P60 / iShares NYSE Composite Index Fund 806,767 832,525
2023-03-01 13D/A US64966K3P60 / iShares NYSE Composite Index Fund 3,417,932 806,767
2023-01-05 13D/A US64966K3P60 / iShares NYSE Composite Index Fund 3,166,676 3,417,932
2022-12-02 13D/A US64966K3P60 / iShares NYSE Composite Index Fund 2,968,727 3,166,676
2022-11-03 13D/A US64966K3P60 / iShares NYSE Composite Index Fund 2,667,884 2,968,727
2022-09-06 13D/A US64966K3P60 / iShares NYSE Composite Index Fund 1,749,094 2,667,884
2022-07-06 13D/A US64966K3P60 / iShares NYSE Composite Index Fund 1,591,808 1,749,094
2022-05-06 13D/A US64966K3P60 / iShares NYSE Composite Index Fund 1,428,661 1,591,808
2022-04-22 13D/A US64966K3P60 / iShares NYSE Composite Index Fund 1,261,552 1,428,661
2022-04-04 13D/A US64966K3P60 / iShares NYSE Composite Index Fund 1,085,266 1,261,552
2022-03-18 13D/A US64966K3P60 / iShares NYSE Composite Index Fund 935,266 1,085,266
2022-03-02 13D/A US64966K3P60 / iShares NYSE Composite Index Fund 746,367 935,266
2022-02-11 13D US64966K3P60 / iShares NYSE Composite Index Fund 746,367