Lind Global Fund II LP - SEC Form 4 Insider Trading Screener

General
Tickers
Insider
Sh Price $
Lqdty M$
Date
Filing Date
  
Trade Date
  
Filing Delay
N Days Ago
Transaction Filing
 P - Purchase
 S - Sale
 A - Grant
 D - Sale to Iss
 G - Gift
 F - Tax
 M - Option Ex
 X - Option Ex
 C - Cnv Deriv
 W - Inherited
No deriv Multiple Days
Traded K$
Own Chg %
Industry
Insider Title     Officer
    COB
    CEO
    Pres
    COO
    CFO
    GC
    VP
  Director
  10%own
  Other
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26 results. Finviz - SEC - Yahoo - Stockcharts - Tradingview
TCcnt1d1w1m6m

X

Filing Date

Trade Date

Ticker

Insider Name

Title

Trade Type  

Price

Qty

Owned

ΔOwn

Value

1d

1w

1m

6m

M
2023-11-17
RWLKLind Global Fund II LP10%P - Purchase$0.73+54,91710,017,745+1%+$40,089
2023-11-14
RWLKLind Global Fund II LP10%P - Purchase$0.68+72,8189,962,828+1%+$49,516
2023-09-26
RWLKLind Global Fund II LP10%P - Purchase$0.70+5,031,2000-100%+$3,521,840
2023-09-26
RWLKLind Global Fund II LP10%S - Sale$0.70-5,031,2000-100%-$3,521,840
M
2023-09-01
RWLKLind Global Fund II LP10%P - Purchase$0.70+31,5379,890,0100%+$22,190
M
2023-08-24
RWLKLind Global Fund II LP10%P - Purchase$0.62+29,5459,858,4730%+$18,368
2023-08-16
RWLKLind Global Fund II LP10%P - Purchase$0.59+46,1999,828,9280%+$27,257
2023-07-24
RWLKLind Global Fund II LP10%P - Purchase$0.76+100,0009,782,729+1%+$76,000
M
2023-07-03
RWLKLind Global Fund II LP10%P - Purchase$0.69+83,4799,682,729+1%+$57,583
M
2023-03-06
RWLKLind Global Fund II LP10%P - Purchase$0.80+237,2335,031,200+5%+$188,765
2023-01-09
RWLKLind Global Fund II LP10%P - Purchase$0.79+25,6614,912,584+1%+$20,272
M
2022-12-21
RWLKLind Global Fund II LP10%P - Purchase$0.75+50,4834,899,754+1%+$37,846
M
2022-12-16
RWLKLind Global Fund II LP10%P - Purchase$0.75+134,5704,874,513+3%+$101,520
M
2022-11-09
RWLKLind Global Fund II LP10%P - Purchase$0.91+387,5544,807,228+9%+$352,422
M
2022-10-28
RWLKLind Global Fund II LP10%P - Purchase$0.96+26,8004,613,451+1%+$25,760
M
2022-10-13
RWLKLind Global Fund II LP10%P - Purchase$0.82+62,2384,600,051+1%+$50,950
M
2022-10-07
RWLKLind Global Fund II LP10%P - Purchase$0.85+180,0304,568,932+4%+$153,037
M
2022-09-30
RWLKLind Global Fund II LP10%P - Purchase$0.90+9,8964,478,9170%+$8,877
M
2022-09-26
RWLKLind Global Fund II LP10%P - Purchase$0.83+38,0784,473,969+1%+$31,605
2022-07-28
RWLKLind Global Fund II LP10%S - Sale$0.99-1614,454,9300%-$159
2022-07-28
RWLKLind Global Fund II LP10%P - Purchase$1.03+1614,454,9300%+$166
DM
2022-07-15
RWLKLind Global Fund II LP10%P - Purchase$2.35+263,0024,454,930+6%+$617,986
DM
2022-06-28
RWLKLind Global Fund II LP10%P - Purchase$0.94+36,3154,367,079+1%+$34,262
2022-06-02
RWLKLind Global Fund II LP10%P - Purchase$1.00+236,6164,092,022+6%+$236,498
ADM
2022-05-13
RWLKLind Global Fund II LP10%P - Purchase$0.94+108,9383,534,958+3%+$102,402
DM
2022-05-13
RWLKLind Global Fund II LP10%P - Purchase$0.94+108,9383,534,958+3%+$102,402

AAmended filing
DDerivative transaction in filing (usually option exercise)
EError detected in filing
MMultiple transactions in filing; earliest reported transaction date and weighted average transaction price
S - SaleSale of securities on an exchange or to another person
S - Sale+OESale of securities on an exchange or to another person (after option exercise)
F - TaxPayment of exercise price or tax liability using portion of securities received from the company
P - PurchasePurchase of securities on an exchange or from another person
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