Detentore | LEI del Detentore | Emittente | LEI dell'Emittente | ISIN | Perc. posizione netta corta | Data della posizione |
Position Holder | LEI of Position Holder | Share Issuer | LEI of Share Issuer | ISIN | Net Short Position (%) | Position Date |
CANADA PENSION PLAN INVESTMENT BOARD | 70DNWEAINTGFO4DMV441 | AMPLIFON SPA | ZYXJDNVM2JI3VBM8G556 | IT0004056880 | 0,77 | 26/01/2022 |
Marshall Wace LLP | 6BS8JLEICI3VGJ264L55 | AMPLIFON SPA | ZYXJDNVM2JI3VBM8G556 | IT0004056880 | 0,54 | 22/06/2022 |
Marshall Wace LLP | 6BS8JLEICI3VGJ264L55 | ANIMA HOLDING SPA | 549300T1EREIRH8ICX03 | IT0004998065 | 0,49 | 07/07/2022 |
BlackRock Investment Management (UK) Limited | 549300QXP30FD81KVQ43 | AZIMUT HOLDING SPA | 81560025690EF8540635 | IT0003261697 | 0,63 | 14/06/2022 |
AQR Capital Management, LLC | 549300GC5MDF1KXYMP06 | BANCA GENERALI SPA | 815600903231FA2E7698 | IT0001031084 | 0,5 | 01/07/2022 |
Citadel Advisors Europe Limited | 5493003FS3JD468P6Z37 | BANCA GENERALI SPA | 815600903231FA2E7698 | IT0001031084 | 0,54 | 15/06/2022 |
Citadel Advisors LLC | 549300SHI4D0QGWI8X45 | BANCA GENERALI SPA | 815600903231FA2E7698 | IT0001031084 | 0,61 | 30/06/2022 |
KAIROS INVESTMENT MANAGEMENT LIMITED | 213800HYKXTMZXGI1M84 | BIO-ON spa | 8156001A4CBBB7B42E94 | IT0005056236 | 1,57 | 29/07/2021 |
Think Investments LP | 549300MLQMYH1DEBDY63 | BIO-ON spa | 8156001A4CBBB7B42E94 | IT0005056236 | 1,02 | 18/08/2020 |
Capital Fund Management SA | 549300KKLDTNOIW0NU52 | BPER BANCA SPA | N747OI7JINV7RUUH6190 | IT0000066123 | 1,13 | 06/07/2022 |
Citadel Advisors Europe Limited | 5493003FS3JD468P6Z37 | BUZZI UNICEM SPA | 5299003DX5YLKSVJ6K59 | IT0001347308 | 0,59 | 06/07/2022 |
Clean Energy Transition LLP | 5493000XZ1S1QNM4PD76 | BUZZI UNICEM SPA | 5299003DX5YLKSVJ6K59 | IT0001347308 | 0,95 | 05/07/2022 |
JPMorgan Asset Management (UK) Limited | 20FULDKQMC7ZL80LYR79 | DATALOGIC SPA | 815600A033443037ED66 | IT0004053440 | 0,6 | 08/06/2022 |
Psquared Asset Management AG | 213800R5EKDBNQU86M37 | DE LONGHI SPA | 8156000E09A52C4F8A38 | IT0003115950 | 0,77 | 17/11/2021 |
Marshall Wace LLP | 6BS8JLEICI3VGJ264L55 | DIASORIN SPA | 8156002878BDF0EE4348 | IT0003492391 | 0,48 | 07/07/2022 |
Bridgewater Associates, LP | 549300Z1Z0SCIDMJKU09 | ENEL SPA | WOCMU6HCI0OJWNPRZS33 | IT0003128367 | 0,5 | 23/06/2022 |
JPMorgan Asset Management (UK) Limited | 20FULDKQMC7ZL80LYR79 | ESPRINET SPA | 8156007E3375956ADD08 | IT0003850929 | 0,77 | 01/06/2022 |
TT INTERNATIONAL ASSET MANAGEMENT LTD | 549300RATXRKYIJ73Z89 | ESPRINET SPA | 8156007E3375956ADD08 | IT0003850929 | 0,72 | 11/03/2022 |
ELEVA CAPITAL | 2138006AZELNYKR3A325 | FINCANTIERI SPA | 8156005BDF49128B6239 | IT0001415246 | 0,61 | 14/09/2020 |
Fosse Capital Partners LLP | 984500BD3I1469S9F489 | FINCANTIERI SPA | 8156005BDF49128B6239 | IT0001415246 | 0,9 | 06/10/2021 |
Helikon Long Short Equity Fund MAster ICAV | 254900OTH13MKMRM7384 | FINCANTIERI SPA | 8156005BDF49128B6239 | IT0001415246 | 0,71 | 25/04/2022 |
Clearance Capital Limited | 549300CKBFELGPNXBR49 | IGD - IMMOBILIARE GRANDE DISTRIBUZIONE SIIQ SPA | 815600CF8C0389D0E272 | IT0005322612 | 0,88 | 05/07/2022 |
CANADA PENSION PLAN INVESTMENT BOARD | 70DNWEAINTGFO4DMV441 | INFRASTRUTTURE WIRELESS ITALIANE SPA - INWIT | 81560066183FE361C071 | IT0005090300 | 0,59 | 08/04/2022 |
Bridgewater Associates, LP | 549300Z1Z0SCIDMJKU09 | Intesa Sanpaolo spa | 2W8N8UU78PMDQKZENC08 | IT0000072618 | 0,61 | 21/06/2022 |
Voleon Capital Management LP | 549300EJ1ZB4YYIOMD56 | Iveco Group N.V. | 549300ZWF2ZJDD9EOR96 | NL0015000LU4 | 0,52 | 05/07/2022 |
AKO Capital LLP | 5493003D7KPWY66LE158 | MAIRE TECNIMONT SPA | 815600D85A61200A1B83 | IT0004931058 | 1,74 | 30/05/2022 |
Fosse Capital Partners LLP | 984500BD3I1469S9F489 | MAIRE TECNIMONT SPA | 815600D85A61200A1B83 | IT0004931058 | 1,23 | 01/04/2022 |
GMT Capital Corp | 1H6LFPJQGRZ1EU3HNJ35 | MAIRE TECNIMONT SPA | 815600D85A61200A1B83 | IT0004931058 | 0,82 | 31/05/2022 |
KAIROS INVESTMENT MANAGEMENT LIMITED | 213800HYKXTMZXGI1M84 | MAIRE TECNIMONT SPA | 815600D85A61200A1B83 | IT0004931058 | 0,63 | 06/07/2022 |
Intermonte Sim Spa | YMUU1WGHJKORF9E36I98 | OLIDATA SPA | 2138007MZQWFJBPCXA35 | IT0001350625 | 0,74 | 09/04/2020 |
MARBLE BAR ASSET MANAGEMENT LLP | 213800RUT3C1PCHUQP60 | OVS SPA | 8156001A772766DCAA71 | IT0005043507 | 0,73 | 30/06/2022 |
MARBLE BAR ASSET MANAGEMENT LLP | 213800RUT3C1PCHUQP60 | PIAGGIO & C. SPA | 8156000256C2431C2E92 | IT0003073266 | 0,89 | 16/06/2022 |
Citadel Advisors Europe Limited | 5493003FS3JD468P6Z37 | PIRELLI & C. SPA | 815600A0C9AFC1F2A709 | IT0005278236 | 0,94 | 07/07/2022 |
BlackRock Investment Management (UK) Limited | 549300QXP30FD81KVQ43 | SAIPEM SPA | 549300PHV8MBDHWB8X12 | IT0005495657 | 1,39 | 24/06/2022 |
Millennium Capital Partners LLP | 549300X1IL2SQS14P736 | SAIPEM SPA | 549300PHV8MBDHWB8X12 | IT0005495657 | 1,77 | 06/07/2022 |
ExodusPoint Capital Management LP | 549300X6BK8XW1RP4G25 | SARAS SPA RAFFINERIE SARDE | 5299005KJSU2AQUJUH84 | IT0000433307 | 0,53 | 07/07/2022 |
JPMorgan Asset Management (UK) Limited | 20FULDKQMC7ZL80LYR79 | SECO SPA | 8156008C44408AB6D716 | IT0005438046 | 0,8 | 14/06/2022 |
MOMentum Alternative Investments SA | 549300GZ04VJ5HQF0H36 | SOGEFI SPA | 5493005HPJ40IY377O47 | IT0000076536 | 0,59 | 26/01/2022 |
AKO Capital LLP | 5493003D7KPWY66LE158 | TECHNOGYM SPA | 815600B9149F66E77F76 | IT0005162406 | 1,37 | 26/05/2022 |
Talomon Capital Limited | 2138006LQKBLR9APKA07 | TECHNOGYM SPA | 815600B9149F66E77F76 | IT0005162406 | 0,66 | 01/02/2022 |
Exane Asset Management | 969500QCD96QW6JGCN41 | TERNA - RETE ELETTRICA NAZIONALE SPA | 8156009E94ED54DE7C31 | IT0003242622 | 0,65 | 12/04/2022 |
GSA Capital Partners LLP | 213800CWAHHW6YYZII58 | TISCALI SPA | 815600DDD271CA046266 | IT0004513666 | 0,99 | 30/03/2022 |
Citadel Advisors LLC | 549300SHI4D0QGWI8X45 | UNIEURO SPA | 815600583BE5BC67EB82 | IT0005239881 | 0,55 | 06/07/2022 |
Voleon Capital Management LP | 549300EJ1ZB4YYIOMD56 | UNIEURO SPA | 815600583BE5BC67EB82 | IT0005239881 | 0,51 | 06/07/2022 |
Fosse Capital Partners LLP | 984500BD3I1469S9F489 | WEBUILD SPA | 549300UKR289DF4UXQ47 | IT0003865570 | 0,77 | 03/03/2022 |
Think Investments LP | 549300MLQMYH1DEBDY63 | WEBUILD SPA | 549300UKR289DF4UXQ47 | IT0003865570 | 0,62 | 15/03/2022 |