Introduktion

Denne side giver en omfattende analyse af den kendte insiderhandelshistorie for Vivaldi Asset Management, LLC. Insidere er embedsmænd, direktører eller betydelige investorer i en virksomhed. Det er ulovligt for insidere at foretage handler i deres virksomheder baseret på specifik, ikke-offentlig information. Dette betyder ikke, at det er ulovligt for dem at handle i deres egne virksomheder. De skal dog rapportere alle handler til SEC via en formular 4. På trods af disse begrænsninger tyder akademisk forskning på, at insidere - generelt - har en tendens til at klare sig bedre end markedet i deres egne virksomheder.

Gennemsnitlig handelsrentabilitet

Den gennemsnitlige handelsrentabilitet er det gennemsnitlige afkast af alle køb på det åbne marked foretaget af insideren i de sidste tre år. For at beregne dette undersøger vi ethvert åbent marked, uplanlagte køb foretaget af insideren, eksklusive alle handler, der var markeret som en del af en 10b5-1-handelsplan. Vi beregner derefter den gennemsnitlige præstation for disse handler over 3, 6 og 12 måneder, idet vi tager et gennemsnit af hver af disse varigheder for at generere en endelig præstationsmåling for hver handel. Endelig tager vi et gennemsnit af alle præstationsmålingerne for at beregne en præstationsmåling for insideren. Denne liste inkluderer kun insidere, der har foretaget mindst tre handler i de sidste to år.

Hvis denne insiderhandelsrentabilitet er "N/A", så har insideren enten ikke foretaget nogen køb på det åbne marked i de sidste tre år, eller de handler, de har foretaget, er for nye til at beregne en pålidelig præstationsmåling.

Opdateringsfrekvens: Dagligt

Se listen over de mest profitable insiderhandlere.

Virksomheder med rapporterede insider-stillinger

SEC-registreringen viser, at Vivaldi Asset Management, LLC har rapporteret besiddelser eller handler i følgende virksomheder:

Sikkerhed Titel Senest indberettede beholdninger
10.138
118
28.895
11.043
US: / INFINITY CORE ALTERNATIVE FUND 0
US:VFLEX / Relative Value Fund - First Trust Alternative Opportunities Fund Class I 0
US:VAM / Vivaldi Opportunities Fund 0
Sådan fortolkes diagrammerne

Følgende diagrammer viser aktieudviklingen for værdipapirer efter hver åben-marked, ikke-planlagt handel foretaget af Vivaldi Asset Management, LLC. Ikke-planlagt handel er handler, der ikke blev foretaget som en del af en 10b5-1-handelsplan. Aktieudviklingen er kortlagt som den kumulative procentvise ændring i aktiekursen. For eksempel, hvis en insiderhandel blev foretaget den 1. januar 2019, vil diagrammet vise den daglige procentvise ændring af værdipapiret til i dag. Hvis aktiekursen skulle gå fra $10 til $15 i løbet af denne tid, ville den kumulative procentvise ændring i aktiekursen være 50%. En prisændring fra 10 USD til 20 USD ville være 100 %, og en ændring i prisen på 10 USD til 5 USD ville være -50 %.

I sidste ende forsøger vi at bestemme, hvor tæt insiderens handler korrelerer med merafkast (positive eller negative) i aktiekursen for at se, om insideren timing deres handler til at drage fordel af insiderinformation. Overvej situationen, hvor en insider gjorde dette. I denne situation ville vi forvente enten (a) positive afkast efter køb eller (b) negative afkast efter salg. I tilfælde af (a) vil KØB-diagrammet vise en række opadskrånende kurver, der indikerer positive afkast efter hver købstransaktion. I tilfælde af (b) vil SALE-diagrammet vise en række nedadgående kurver, der indikerer negative afkast efter hver salgstransaktion.

Dette alene er dog ikke nok til at drage konklusioner. Hvis for eksempel aktiekursen i selskabet var i en ikke-cyklisk stigning over mange år, så ville vi forvente, at alle efterkøbsgrundene var opadgående. Ligeledes ville ikke-cykliske fald over mange år resultere i nedadgående post-trade plots. Ingen af disse diagrammer tyder på insiderhandel.

Den stærkeste indikator ville være en situation, hvor aktiekursen var ekstremt cyklisk, og der var både positive signaler i KØB-diagrammet og negative plots på SALG-diagrammet. Denne situation ville i høj grad tyde på en insider, der havde timing af handler til deres økonomiske fordel.

Insiderhandelshistorie

Denne tabel viser den komplette liste over insiderhandler foretaget af Vivaldi Asset Management, LLC som oplyst til Securities Exchange Commission (SEC).

Fil dato Transdato Form Ticker Sikkerhed Kode 10b5-1 Aktier Resterende aktier Procent
Lave om
Del
Pris
Tran
Værdi
Tilbage
Værdi
2025-07-28 3 N/A FT Vest Hedged Equity Income Fund: Series B2
Class I Common Shares
2025-07-28 3 N/A FT Vest Total Return Income Fund: Series B2
Class I Common Shares
2025-05-15 2025-01-27 5 NA First Trust Private Assets Fund
COMMON SHARES
J - Other 138 10.138 1,38 11,02 1.522 111.722
2025-05-15 2025-03-05 5 FTCAX First Trust Private Credit Fund
CLASS A COMMON SHARES
J - Other 1 118 0,84 10,16 10 1.197
2025-05-15 2025-02-05 5 FTCAX First Trust Private Credit Fund
CLASS A COMMON SHARES
J - Other 1 118 0,83 10,19 10 1.200
2025-05-15 2024-12-13 5 FTCAX First Trust Private Credit Fund
CLASS A COMMON SHARES
J - Other 2 118 1,52 10,12 18 1.192
2025-05-15 2024-12-04 5 FTCAX First Trust Private Credit Fund
CLASS A COMMON SHARES
J - Other 1 118 0,81 10,25 10 1.207
2025-05-15 2024-11-06 5 FTCAX First Trust Private Credit Fund
CLASS A COMMON SHARES
J - Other 1 118 0,80 10,31 10 1.215
2025-05-15 2024-10-02 5 FTCAX First Trust Private Credit Fund
CLASS A COMMON SHARES
J - Other 1 118 0,80 10,29 10 1.212
2025-05-15 2024-09-04 5 FTCAX First Trust Private Credit Fund
CLASS A COMMON SHARES
J - Other 1 118 0,80 10,31 10 1.215
2025-05-15 2024-08-07 5 FTCAX First Trust Private Credit Fund
CLASS A COMMON SHARES
J - Other 1 118 0,78 10,30 9 1.213
2025-05-15 2024-07-03 5 FTCAX First Trust Private Credit Fund
CLASS A COMMON SHARES
J - Other 1 118 0,78 10,34 9 1.218
2025-05-15 2024-06-05 5 FTCAX First Trust Private Credit Fund
CLASS A COMMON SHARES
J - Other 1 118 0,77 10,37 9 1.222
2025-05-15 2024-05-01 5 FTCAX First Trust Private Credit Fund
CLASS A COMMON SHARES
J - Other 1 118 0,77 10,35 9 1.219
2025-05-15 2024-04-03 5 FTCAX First Trust Private Credit Fund
CLASS A COMMON SHARES
J - Other 1 118 0,76 10,37 9 1.222
2025-05-15 2024-12-13 5 HFLEX First Trust Hedged Strategies Fund
CLASS I COMMON SHARES
J - Other 473 28.895 1,66 11,18 5.288 323.044
2025-05-15 2024-12-13 5 HFLEX First Trust Hedged Strategies Fund
CLASS A COMMON SHARES
J - Other 1 103 1,39 11,13 16 1.145
2025-05-15 2024-12-13 5 FTREX First Trust Real Assets Fund
CLASS I COMMON SHARES
J - Other 138 11.043 1,27 9,07 1.251 100.156
2025-05-15 2024-10-02 5 FTREX First Trust Real Assets Fund
CLASS I COMMON SHARES
J - Other 136 11.043 1,25 9,17 1.251 101.260
2025-05-15 2024-07-03 5 FTREX First Trust Real Assets Fund
CLASS I COMMON SHARES
J - Other 135 11.043 1,23 9,18 1.235 101.371
2025-05-15 2024-04-03 5 FTREX First Trust Real Assets Fund
CLASS I COMMON SHARES
J - Other 133 11.043 1,22 9,23 1.226 101.923
2025-05-01 3 N/A FT Vest Hedged Equity Income Fund: Series B1
Class I Common Shares
2025-05-01 3 N/A FT Vest Total Return Income Fund: Series B1
Class I Common Shares
2025-01-27 3 N/A FT Vest Total Return Income Fund: Series A4
Class I Common Shares
2025-01-27 3 N/A FT Vest Hedged Equity Income Fund: Series A4
Class I Common Shares
2024-11-26 3 N/A FT Vest Rising Dividend Achievers Total Return Fund
Class I Common Shares
2024-10-16 3 N/A FT Vest Total Return Income Fund: Series A3
Class I Common Shares
2024-10-16 3 N/A FT Vest Hedged Equity Income Fund: Series A3
Class I Common Shares
2024-05-10 2023-12-08 5 HFLEX First Trust Hedged Strategies Fund
CLASS A COMMON SHARES
J - Other 1 101 1,48 9,98 15 1.013
2024-05-10 2023-12-08 5 HFLEX First Trust Hedged Strategies Fund
CLASS I COMMON SHARES
J - Other 504 28.422 1,80 9,98 5.027 283.650
2024-05-10 2024-03-06 5 FTCAX First Trust Private Credit Fund
CLASS A COMMON SHARES
J - Other 1 106 0,84 10,37 9 1.097
2024-05-10 2024-02-07 5 FTCAX First Trust Private Credit Fund
CLASS A COMMON SHARES
J - Other 1 106 0,83 10,38 9 1.098
2024-05-10 2023-12-08 5 FTREX First Trust Real Assets Fund
CLASS I COMMON SHARES
J - Other 23 10.501 0,22 9,39 215 98.603
2024-05-10 2023-10-04 5 FTREX First Trust Real Assets Fund
CLASS I COMMON SHARES
J - Other 131 10.501 1,26 9,40 1.230 98.708
2024-05-10 2023-07-05 5 FTREX First Trust Real Assets Fund
CLASS I COMMON SHARES
J - Other 129 10.501 1,25 9,48 1.226 99.548
2024-05-10 2023-04-05 5 FTREX First Trust Real Assets Fund
CLASS I COMMON SHARES
J - Other 128 10.501 1,23 9,60 1.226 100.808
2024-01-03 2023-12-29 4 FTPCX First Trust Private Credit Fund
Class I Common Shares
S - Sale -11.067 0 -100,00 10,33 -114.322
2024-01-03 2023-12-08 4 FTPCX First Trust Private Credit Fund
Class I Common Shares
J - Other 145 11.067 1,32 10,21 1.476 112.994
2024-01-03 2023-12-08 4 FTPCX First Trust Private Credit Fund
Class A Common Shares
J - Other 1 104 0,95 10,23 10 1.065
2024-01-03 2023-12-06 4 FTPCX First Trust Private Credit Fund
Class I Common Shares
J - Other 87 10.922 0,80 10,33 901 112.829
2024-01-03 2023-12-06 4 FTPCX First Trust Private Credit Fund
Class A Common Shares
J - Other 1 103 0,72 10,31 8 1.063
2024-01-03 2023-11-01 4 FTPCX First Trust Private Credit Fund
Class I Common Shares
J - Other 86 10.835 0,80 10,27 888 111.278
2024-01-03 2023-11-01 4 FTPCX First Trust Private Credit Fund
Class A Common Shares
J - Other 1 102 0,72 10,26 7 1.050
2024-01-03 2023-10-04 4 FTPCX First Trust Private Credit Fund
Class I Common Shares
J - Other 86 10.749 0,81 10,29 884 110.605
2024-01-03 2023-10-04 4 FTPCX First Trust Private Credit Fund
Class A Common Shares
J - Other 1 102 0,72 10,29 8 1.046
2024-01-03 2023-09-06 4 FTPCX First Trust Private Credit Fund
Class I Common Shares
J - Other 85 10.663 0,80 10,29 876 109.721
2024-01-03 2023-09-06 4 FTPCX First Trust Private Credit Fund
Class A Common Shares
J - Other 1 101 0,72 10,27 7 1.036
2024-01-03 2023-08-02 4 FTPCX First Trust Private Credit Fund
Class I Common Shares
J - Other 63 10.578 0,60 10,23 648 108.211
2024-01-03 2023-08-02 4 FTPCX First Trust Private Credit Fund
Class A Common Shares
J - Other 1 100 0,58 10,21 6 1.023
2024-01-03 2023-07-05 4 FTPCX First Trust Private Credit Fund
Class I Common Shares
J - Other 63 10.514 0,60 10,16 638 106.827
2024-01-03 2023-07-05 4 FTPCX First Trust Private Credit Fund
Class A Common Shares
J - Other 1 100 0,59 10,15 6 1.011
2024-01-03 2023-06-07 4 FTPCX First Trust Private Credit Fund
Class I Common Shares
J - Other 63 10.452 0,60 10,12 633 105.770
2024-01-03 2023-06-07 4 FTPCX First Trust Private Credit Fund
Class A Common Shares
J - Other 1 99 0,59 10,11 6 1.001
2024-01-03 2023-06-02 4 FTPCX First Trust Private Credit Fund
Class A Common Shares
P - Purchase 98 98 10,16 1.000 1.000
2024-01-03 2023-05-03 4 FTPCX First Trust Private Credit Fund
Class I Common Shares
J - Other 62 10.389 0,60 10,06 625 104.514
2024-01-03 2023-04-05 4 FTPCX First Trust Private Credit Fund
Class I Common Shares
J - Other 62 10.327 0,60 10,03 620 103.579
2024-01-03 2023-12-29 4/A FTPCX First Trust Private Credit Fund
Class I Common Shares
S - Sale -11.067 0 -100,00 10,33 -114.322
2024-01-03 2023-12-08 4/A FTPCX First Trust Private Credit Fund
Class I Common Shares
J - Other 145 11.067 1,32 10,21 1.476 112.994
2024-01-03 2023-12-08 4/A FTPCX First Trust Private Credit Fund
Class A Common Shares
J - Other 1 104 0,95 10,23 10 1.065
2024-01-03 2023-12-06 4/A FTPCX First Trust Private Credit Fund
Class I Common Shares
J - Other 87 10.922 0,80 10,33 901 112.829
2024-01-03 2023-12-06 4/A FTPCX First Trust Private Credit Fund
Class A Common Shares
J - Other 1 103 0,72 10,31 8 1.063
2024-01-03 2023-11-01 4/A FTPCX First Trust Private Credit Fund
Class I Common Shares
J - Other 86 10.835 0,80 10,27 888 111.278
2024-01-03 2023-11-01 4/A FTPCX First Trust Private Credit Fund
Class A Common Shares
J - Other 1 102 0,72 10,26 7 1.050
2024-01-03 2023-10-04 4/A FTPCX First Trust Private Credit Fund
Class I Common Shares
J - Other 86 10.749 0,81 10,29 884 110.605
2024-01-03 2023-10-04 4/A FTPCX First Trust Private Credit Fund
Class A Common Shares
J - Other 1 102 0,72 10,29 8 1.046
2024-01-03 2023-09-06 4/A FTPCX First Trust Private Credit Fund
Class I Common Shares
J - Other 85 10.663 0,80 10,29 876 109.721
2024-01-03 2023-09-06 4/A FTPCX First Trust Private Credit Fund
Class A Common Shares
J - Other 1 101 0,72 10,27 7 1.036
2024-01-03 2023-08-02 4/A FTPCX First Trust Private Credit Fund
Class I Common Shares
J - Other 63 10.578 0,60 10,23 648 108.211
2024-01-03 2023-08-02 4/A FTPCX First Trust Private Credit Fund
Class A Common Shares
J - Other 1 100 0,58 10,21 6 1.023
2024-01-03 2023-07-05 4/A FTPCX First Trust Private Credit Fund
Class I Common Shares
J - Other 63 10.514 0,60 10,16 638 106.827
2024-01-03 2023-07-05 4/A FTPCX First Trust Private Credit Fund
Class A Common Shares
J - Other 1 100 0,59 10,15 6 1.011
2024-01-03 2023-06-07 4/A FTPCX First Trust Private Credit Fund
Class I Common Shares
J - Other 63 10.452 0,60 10,12 633 105.770
2024-01-03 2023-06-07 4/A FTPCX First Trust Private Credit Fund
Class A Common Shares
J - Other 1 99 0,59 10,11 6 1.001
2024-01-03 2023-06-02 4/A FTPCX First Trust Private Credit Fund
Class A Common Shares
P - Purchase 98 98 10,16 1.000 1.000
2024-01-03 2023-05-03 4/A FTPCX First Trust Private Credit Fund
Class I Common Shares
J - Other 62 10.389 0,60 10,06 625 104.514
2024-01-03 2023-04-05 4/A FTPCX First Trust Private Credit Fund
Class I Common Shares
J - Other 62 10.327 0,60 10,03 620 103.579
2023-10-13 2023-10-11 4 HFLEX First Trust Hedged Strategies Fund
Class I Common Shares
J - Other 9.960 17.918 125,16 10,04 100.000 179.898
2023-08-07 2023-07-03 4 HFLEX First Trust Hedged Strategies Fund
Class I Common Shares
J - Other 7.958 17.958 79,58 10,00 79.580 179.580
2023-08-07 2023-07-03 4 HFLEX First Trust Hedged Strategies Fund
Class A Common Shares
P - Purchase 100 10,00 1.000
2023-07-06 3 HFLEX First Trust Hedged Strategies Fund
Class I Common Shares
10.000
2023-05-15 2023-03-01 5 FTPCX First Trust Private Credit Fund
CLASS I COMMON SHARES
J - Other 61 10.265 0,60 10,05 617 103.164
2023-05-15 2023-02-01 5 FTPCX First Trust Private Credit Fund
CLASS I COMMON SHARES
J - Other 42 10.265 0,42 10,05 427 103.164
2023-05-15 2022-12-09 5 FTPCX First Trust Private Credit Fund
CLASS I COMMON SHARES
J - Other 161 10.265 1,60 9,80 1.580 100.598
2023-05-15 2022-12-09 5 FTREX First Trust Real Assets Fund
CLASS I COMMON SHARES
J - Other 90 10.090 0,90 9,84 887 99.287
2023-01-09 3 N/A First Trust Private Assets Fund
Common Shares
10.000
2022-05-16 3 FTPCX First Trust Private Credit Fund
CLASS I COMMON SHARES
10.000
2022-05-06 3 FTREX First Trust Real Assets Fund
CLASS I COMMON SHARES
10.000
2019-03-28 3 ZVAMIX INFINITY CORE ALTERNATIVE FUND
Common shares
0
2019-03-28 3 VFLEX Relative Value Fund
Common shares
0
2019-03-28 3 VAM Vivaldi Opportunities Fund
Common Shares
0
P
Åbent marked eller privat køb af ikke-afledte eller afledte værdipapirer
S
Åbent marked eller privat salg af ikke-afledte eller afledte værdipapirer
A
Tildeling, tildeling eller anden erhvervelse af værdipapirer fra virksomheden (såsom en option)
C
Konvertering af derivat
D
Salg eller overførsel af værdipapirer tilbage til virksomheden
F
Betaling af udnyttelseskurs eller skatteforpligtelse ved brug af en del af værdipapirer modtaget fra selskabet
G
Gave af værdipapirer af eller til insideren
K
Aktieswaps og lignende sikringstransaktioner
M
Udnyttelse eller konvertering af afledt værdipapir modtaget fra virksomheden (såsom en option)
V
En transaktion rapporteret frivilligt på formular 4
J
Andet (ledsaget af en fodnote, der beskriver transaktionen)