Owl Creek Asset Management, L.P. - SEC Form 4 Insider Trading Screener

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Sh Price $
Lqdty M$
Date
Filing Date
  
Trade Date
  
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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$
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TCcnt1d1w1m6m
P10+1+3+4+3

X

Filing Date

Trade Date

Ticker

Insider Name

Insider Title

Trade Type 

Share Price

Shares Traded

Shares Owned

Own chg

Value Traded

1d ret

1w ret

1m ret

6m ret

M
2017-11-14
PDVWOwl Creek Asset Management, L.P.10%P - Purchase$30.54+26,8634,407,072+1%+$820,389
M
2017-11-08
PDVWOwl Creek Asset Management, L.P.10%P - Purchase$29.61+19,5784,337,2910%+$579,759
M
2017-11-03
PDVWOwl Creek Asset Management, L.P.10%P - Purchase$29.56+25,2574,304,082+1%+$746,504
M
2016-07-11
PDVWOwl Creek Asset Management, L.P.10%P - Purchase$24.06+15,3764,260,0760%+$369,901-3-4-12+5
M
2016-07-06
PDVWOwl Creek Asset Management, L.P.10%P - Purchase$22.30+28,0964,213,824+1%+$626,584+1-2-7+9
M
2016-06-30
PDVWOwl Creek Asset Management, L.P.10%P - Purchase$21.36+21,8384,156,494+1%+$466,497+3+12-6+6
M
2016-06-27
PDVWOwl Creek Asset Management, L.P.10%P - Purchase$19.97+77,3114,075,020+2%+$1,543,940+1+4+4+17
M
2016-06-22
PDVWOwl Creek Asset Management, L.P.10%P - Purchase$21.66+58,5003,928,733+2%+$1,266,892-7-1+1+8
M
2016-06-17
PDVWOwl Creek Asset Management, L.P.10%P - Purchase$21.71+66,5003,835,070+2%+$1,443,6240-10+4+8
M
2016-06-14
PDVWOwl Creek Asset Management, L.P.10%P - Purchase$20.28+47,2323,683,102+1%+$957,754+1+6+10+19
2016-02-24
PDVWOwl Creek Asset Management, L.P.10%P - Purchase$23.87+4731,817,1850%+$11,288+10+10+19-10
M
2016-02-17
PDVWOwl Creek Asset Management, L.P.10%P - Purchase$23.79+27,0113,609,766+1%+$642,517+4+4+28-11
2015-12-10
PDVWOwl Creek Asset Management, L.P.10%P - Purchase$25.00+50,0001,789,701+3%+$1,250,000+4+8+2-23

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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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