CIK: 831001 - Address: 388 Greenwich Street, New York, NY 10013
200 results

TC

Stat

Stk

Ins

Fil

+d

+w

+m

+q

+h

+y

avg

S%ret4019501-1-1392
S%wins65544838372244

Filing Date

T Date

Ticker

Issuer

Inc

Sector

Ind

Industry

Owner

oSt

Rel

Title

T

TVal

Price

L

Qty

oc

Own

H

r2y

r1y

r6m

r3m

r6w

r3w

r7d

r3d

f1d

f1w

f1m

f3m

f6m

f1y

9/13/22 09:50
9/12/22
SLVMSylvamo CorpDEFinancNtBnkNational Commercial BanksCitigroup IncNYHSee GeneS-167,27036.250-4,614-10015I
6/26/20 16:02
6/24/20
NZFNuveen Municipal Credit Income FundDEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-336,000100,0000-3-1000I
6/19/20 16:02
6/17/20
NACNuveen California Quality Municipal Income FundDEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-158,900100,0000-2-1000I
4/7/20 16:05
4/3/20
SBIWestern Asset Intermediate Muni Fund Inc.DEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-5,00025,00000-1000I
4/7/20 16:00
4/3/20
NVGNuveen Amt-Free Municipal Credit Income FundDEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-193,500100,0000-2-1000I
3/30/20 16:45
3/26/20
NRKNuveen New York Amt-Free Quality Municipal Income FundDEFinancNtBnkNational Commercial BanksCitigroup IncNYTS.m-172,100100,0000-2-1000I
3/30/20 16:26
3/26/20
NVGNuveen Amt-Free Municipal Credit Income FundDEFinancNtBnkNational Commercial BanksCitigroup IncNYTS.m-115,600100,0000-1-372I
3/30/20 16:13
3/26/20
MYIBlackrock Muniyield Quality Fund Iii, Inc.DEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-52,000100,0000-1-1000I
11/20/19 16:11
11/18/19
VKIInvesco Advantage Municipal Income Trust IIDEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-216,000100,0000-2-1000I
11/20/19 16:07
11/18/19
VCVInvesco California Value Municipal Income TrustDEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-208,300100,0000-2-1000I
6/24/19 12:07
6/20/19
NVGNuveen Amt-Free Municipal Credit Income FundDEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-179,000100,0000-2-1000I
6/21/19 12:33
6/19/19
MYJBlackrock Muniyield New Jersey Fund, Inc.DEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-180,000100,0000-2-1000I
6/21/19 12:31
6/19/19
MYFBlackrock Muniyield Investment FundDEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-59,400100,0000-1-1000I
6/21/19 12:30
6/19/19
MCABlackrock Muniyield California Quality Fund, Inc.DEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-166,500100,0000-2-1000I
6/21/19 12:26
6/19/19
MYCBlackrock Muniyield California Fund, Inc.DEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-105,900100,0000-1-1000I
6/21/19 12:25
6/19/19
MZABlackrock Muniyield Arizona Fund, Inc.DEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-37,300100,00000-1000I
6/21/19 12:23
6/19/19
MENBlackrock Munienhanced Fund, Inc.DEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-142,500100,0000-1-1000I
6/21/19 12:21
6/19/19
MHEBlackrock Massachusetts Tax-Exempt TrustDEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-18,500100,00000-1000I
6/21/19 12:18
6/19/19
MPABlackrock Muniyield Pennsylvania Quality FundDEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-82,600100,0000-1-1000I
1/25/19 12:55
1/24/19
MIYBlackrock Muniyield Michigan Quality Fund, Inc.DEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-231,900100,0000-2-1000I
1/25/19 12:50
1/24/19
MYNBlackrock Muniyield New York Quality Fund, Inc.DEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-247,700100,0000-2-1000I
1/18/19 12:35
1/17/19
MYIBlackrock Muniyield Quality Fund Iii, Inc.DEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-356,400100,0000-4-1000I
7/12/18 16:07
7/10/18
CPSSConsumer Portfolio Services IncDEFinancNtBnkNational Commercial BanksCitigroup IncNYTS.d04.000002,000I
6/22/18 16:09
6/20/18
NVGNuveen Amt-Free Municipal Credit Income FundDEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-180,000100,0000-2-1000I
4/16/18 16:17
4/12/18
MMUWestern Asset Managed Municipals Fund Inc.DEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-25,00025,0000-1-1000I
10/20/17 16:11
10/18/17
BZMBlackrock Maryland Municipal Bond TrustDEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-3,600100,00000-1000I
10/18/17 18:16
10/16/17
BZMBlackrock Maryland Municipal Bond TrustDEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-6,200100,00000-630I
8/21/17 16:02
8/17/17
SBIWestern Asset Intermediate Muni Fund Inc.DEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-18,20025,0000-1-1000I
8/4/17 16:02
8/2/17
SBIWestern Asset Intermediate Muni Fund Inc.DEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-1,10025,00000-61I
8/1/17 16:14
7/28/17
MMUWestern Asset Managed Municipals Fund Inc.DEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-62,50025,0000-3-1000I
7/27/17 16:48
7/25/17
MMUWestern Asset Managed Municipals Fund Inc.DEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-32,00025,0000-1-343I
7/27/17 16:44
7/25/17
SBIWestern Asset Intermediate Muni Fund Inc.DEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-6,00025,00000-241I
7/24/17 16:03
7/20/17
MMUWestern Asset Managed Municipals Fund Inc.DEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-25,00025,0000-1-214I
7/20/17 16:04
7/18/17
MMUWestern Asset Managed Municipals Fund Inc.DEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-2,50025,00000-25I
7/14/17 16:08
7/12/17
SBIWestern Asset Intermediate Muni Fund Inc.MDFundCEFClosed-End FundsCitigroup IncNYTS-5,00025,00000-171I
7/7/17 16:18
7/5/17
MNPWestern Asset Municipal Partners Fund Inc.DEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-50,20050,0000-1-1000I
3/20/17 16:43
3/16/17
SBIWestern Asset Intermediate Muni Fund Inc.MDFundCEFClosed-End FundsCitigroup IncNYTS-7,00025,00000-1000I3-7-80-2-3-11005
2/1/17 12:18
10/7/16
NKXNuveen California Amt-Free Quality Municipal Income FundDEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-16,000100,00010-1000I70-12-241110104
10/25/16 17:25
10/21/16
BHVBlackrock Virginia Municipal Bond TrustDEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-5,600100,00000-1000I24161-2102110-9-11-8
10/7/16 16:49
10/5/16
NACNuveen California Dividend Advantage Municipal FundDEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-35,500100,00020-361I26122-5-3-1-3-20-4-7-10-7
10/7/16 16:48
10/5/16
MNPWestern Asset Municipal Partners Fund Inc.DEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-25,10050,0000-1-1000I25171-5-5-1-3-10-2-4-8-3
10/7/16 16:47
10/5/16
MMUWestern Asset Managed Municipals Fund Inc.DEFundCEFClosed-End FundsCitigroup IncNYTS-122,00025,0001-5-1000I25111-3-3-2-4-20-2-3-6-3
10/7/16 16:46
10/5/16
SBIWestern Asset Intermediate Muni Fund Inc.MDFundCEFClosed-End FundsCitigroup IncNYTS-30,30025,0000-1-1000I19112-1-10-100-1-2-8-4
10/5/16 16:07
9/30/16
EFFEaton Vance Floating-Rate Income Plus FundDEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-36,000100,00000-1000I71611611010101211
10/5/16 16:06
9/30/16
EFTEaton Vance Floating-Rate Income TrustDEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-80,000100,0002-1-1000I1315116110000079
9/23/16 16:35
9/21/16
GDVGabelli Dividend & Income TrustDEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-32992.753-4-1000I215112-3-212000712
9/20/16 17:27
9/16/16
NACNuveen California Dividend Advantage Municipal FundDEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-44,500100,00020-1000I30165-1-3-1-3012-5-13-10
9/20/16 17:22
9/16/16
NRKNuveen New York Amt-Free Municipal Income FundDEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-80,200100,0002-1-980I241991-2-1-1000-4-10-8
9/15/16 16:45
9/13/16
NEANuveen Amt-Free Quality Municipal Income FundDEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-38,000100,00040-1000I21206-1-4-4-30-11-4-7-7
9/14/16 16:23
9/13/16
NRKNuveen New York Amt-Free Municipal Income FundDEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-20,000100,00020-281I221991-2-1-1-200-4-10-8
9/14/16 16:17
9/13/16
NKXNuveen California Amt-Free Municipal Income FundDEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-31,500100,00010-660I362383-1-2-2-3-1-1-8-16-13
9/1/16 16:34
8/30/16
NACNuveen California Dividend Advantage Municipal FundDEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-15,000100,00020-1000I3322930-10101-2-16-12
8/24/16 16:26
8/22/16
MMUWestern Asset Managed Municipals Fund Inc.DEFundCEFClosed-End FundsCitigroup IncNYTS-39,00025,0001-2-1000I3218964010001-11-8
8/11/16 16:10
8/10/16
FTFFranklin Ltd Duration Income TrustDEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-16090.000-2-1000I611176311101137
7/18/16 16:32
7/14/16
NRKNuveen New York Amt-Free Municipal Income FundDEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-17,000100,00020-1000I232014631-10002-4-8
5/3/16 12:15
4/29/16
NACNuveen California Dividend Advantage Municipal FundDEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-10,000100,00020-1000I291210531111215-5
3/29/16 11:56
3/21/16
NACNuveen California Dividend Advantage Municipal FundDEFinancNtBnkNational Commercial BanksCitigroup IncNYTS.m-22,000100,00020-1000I3112117221001065-6
2/29/16 16:35
2/26/16
NRKNuveen New York Amt-Free Municipal Income FundDEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-15,000100,00020-1000I186853-1101025123
2/26/16 15:44
2/23/16
NRKNuveen New York Amt-Free Municipal Income FundDEFinancNtBnkNational Commercial BanksCitigroup IncNYTS.m-16,800100,00020-1000I197963011-1014112
2/25/16 16:40
2/23/16
NEANuveen Amt-Free Municipal Income FundDEFinancNtBnkNational Commercial BanksCitigroup IncNYTS.m-13,500100,00020-1000I20712710-100016111
2/25/16 16:37
2/24/16
NIONuveen Municipal Opportunity Fund IncDEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-85,000100,0000-1-1000I
12/18/15 12:50
12/16/15
NACNuveen California Dividend Advantage Municipal Fund 2DEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-14,500100,00020-1000I388630112102714-2
12/11/15 11:46
12/9/15
NACNuveen California Dividend Advantage Municipal Fund 2DEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-14,500100,00020-1000I37762-2-1-10025913-1
11/19/15 13:32
11/13/15
GABGabelli Equity Trust IncDEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-27574.382-4-1000I-1-7-10-22-10301-5-939
11/13/15 13:43
11/12/15
GGTGabelli Multimedia Trust Inc.DEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-4375.001-1-1000I-1-7-9-45-3-5-1-11-7-17-43
7/23/15 15:04
7/22/15
SBIWestern Asset Intermediate Muni Fund Inc.MDFundCEFClosed-End FundsCitigroup IncNYTS-9,50025,00000-1000I1771-2320-1-1203713
6/29/15 16:39
6/25/15
MMUWestern Asset Managed Municipals Fund Inc.DEFundCEFClosed-End FundsCitigroup IncNYTS-39,00025,0001-2-1000I1694-4-420-11266819
6/29/15 16:35
6/26/15
MNPWestern Asset Municipal Partners Fund Inc.DEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-12,50025,0000-1-1000I1675-1010-1-1010621
6/29/15 16:29
6/25/15
BZMBlackrock Maryland Municipal Bond TrustDEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-16,000100,00000-1000I14115-2-2-2101111314
6/29/15 16:28
6/25/15
BHVBlackrock Virginia Municipal Bond TrustDEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-11,600100,00000-1000I1108-4-51-3-3-1-2-3-12014
3/20/15 16:14
3/19/15
NRKNuveen New York Amt-Free Municipal Income FundDEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-14,000100,00010-1000I1952-2-100001-1-18
3/11/15 11:28
3/10/15
KTFDeutsche Municipal Income TrustMAFundCEFClosed-End FundsCitigroup IncNYTS-188,8655,000.01-38-1000I71485-1111000-7-38
3/11/15 11:23
3/10/15
KSMDeutsche Strategic Municipal Income TrustDEFundCEFClosed-End FundsCitigroup IncNYTS-60,47525,0000-2-1000I51666-220-10-21-7-67
3/4/15 16:14
3/3/15
NEANuveen Amt-Free Municipal Income FundDEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-30,500100,00030-1000I51274-11210-1-1-3-55
2/25/15 16:40
2/24/15
NRKNuveen New York Amt-Free Municipal Income FundDEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-10,000100,00020-1000I-111430-2110-1-1-1-26
2/12/15 16:40
2/11/15
PHFPacholder High Yield Fund IncMDFundCEFClosed-End FundsCitigroup IncNYTS-7882.750-1-1000I-8-1-8-41001122-2-8-16
11/13/14 10:51
11/12/14
AKPAlliance California Municipal Income FundDEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-7183.500-1-1000I-42186200-10-2-2149
11/13/14 10:49
11/12/14
AFBAlliancebernstein National Municipal Income FundDEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-782.0010-33I0204340-1000-1202
11/10/14 11:01
11/7/14
AKPAlliance California Municipal Income FundDEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-5083.500-1-411I-117974110-1-1-2137
11/10/14 11:00
11/7/14
AYNAlliance New York Municipal Income FundDEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-7183.500-1-1000I
10/31/14 11:40
10/30/14
MMUWestern Asset Managed Municipals Fund Inc.DEFundCEFClosed-End FundsCitigroup IncNYTS-5287.251-1-124I212665222-1037812
10/24/14 10:39
10/22/14
NKXNuveen California Amt-Free Municipal Income FundDEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-5,900100,00010-1000I31974221001091014
10/10/14 10:51
10/9/14
NEANuveen Amt-Free Municipal Income FundDEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-27100.0020-1000I-121853311-100542
9/26/14 09:57
9/24/14
CEVEaton Vance California Municipal Income TrustDEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-1784.9400-1000I-21161000001281311
9/26/14 09:55
9/24/14
EMIEaton Vance Michigan Municipal Income TrustDEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-984.9400-1000I2187221110-10255
8/11/14 16:21
8/7/14
MMUWestern Asset Managed Municipals Fund Inc.DEFundCEFClosed-End FundsCitigroup IncNYTS-17486.941-2-295I-319700012-10-14912
8/7/14 10:58
8/4/14
NRKNuveen New York Amt-Free Municipal Income FundDEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-500,000100.001-5,000-1000I-414700000011263
8/7/14 10:57
8/4/14
NXZNuveen Dividend Advantage Municipal Fund 2DEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-2,147,484100.001-29,300-1000I-5155-1-20-1-11125106
7/30/14 16:31
7/25/14
EDMCEducation Management CorporationDEPerSvEduSvEducational ServicesCitigroup IncNYTS-11.460-10634I
7/22/14 16:08
7/21/14
MMUWestern Asset Managed Municipals Fund Inc.DEFundCEFClosed-End FundsCitigroup IncNYTS-10486.821-1-157I-21274201100231014
9/11/12 16:37
9/10/12
EDMCEducation Management CorporationDEPerSvEduSvEducational ServicesCitigroup IncNYTS03.50000625I
1/11/12 16:45
1/5/12
BYMBlackrock Municipal Income Quality TrustDEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-9022,4181001I2426137241001641425
1/11/12 16:45
1/5/12
BFKBlackrock Municipal Income TrustDEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-9022,4181001I2829129634110531420
1/11/12 16:43
1/5/12
BBKBlackrock Municipal Bond TrustDEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-13522,41800-20I3127139542021661420
12/21/11 16:10
12/19/11
PRIPrimerica, Inc.DEInsurLfInsLife InsuranceCitigroup IncNYDHFormer 1S-175,18421.6811-8,082-10016I-9811-5-3-432310111232
9/20/11 17:53
9/16/11
EDMCEducation Management CorporationDEPerSvEduSvEducational ServicesCitigroup IncNYTS-117.18500625I43-16-30-3660-4-61134
9/20/11 17:51
9/16/11
PRIPrimerica, Inc.DEInsurLfInsLife InsuranceCitigroup IncNYDTS-220.1340017,018I-8-22-22-51-104592848
5/4/11 16:23
5/2/11
NSTCNess Technologies IncDETechSwSvComputer Programming ServicesCitigroup IncNYDS-86.520-103,658I
5/3/11 17:05
4/29/11
PRIPrimerica, Inc.DEInsurLfInsLife InsuranceCitigroup IncNYDTS-9223.4920-4017,040I-39-5-10-43-2-1-2-9-4216
4/21/11 16:39
4/20/11
PRIPrimerica, Inc.DEInsurLfInsLife InsuranceCitigroup IncNYDTS-260,71621.7316-12,000-4117,041I-76-8-10-12-7-314-3-4-815
1/20/11 17:21
1/5/11
BTZBlackrock Credit Allocation Income Trust IVDEFinancNtBnkNational Commercial BanksCitigroup IncNYTS.m-23,90025,0003-1-1000I84102-6-300-10214813
1/20/11 17:20
1/5/11
NTCNuveen Connecticut Premium Income Municipal FundDEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-6,20025,00200-1000I27-3-6-800-121110616
1/20/11 17:20
1/6/11
NANNuveen New York Dividend Advantage Municipal FundDEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-3,25025,00100-1000I281-7-12-4-2-3-113231124
1/20/11 17:19
1/6/11
NUNNuveen New York Quality Income Municipal Fund IncDEFinancNtBnkNational Commercial BanksCitigroup IncNYTS.am-10,35025,00110-610I294-7-11-4-3-5-111121125
1/20/11 17:18
1/18/11
NZFNuveen Dividend Advantage Municipal Fund 3DEFinancNtBnkNational Commercial BanksCitigroup IncNYTS.m-65025,00120-31I27-4-12-12-8-4-5-214451326
1/20/11 17:17
1/11/11
NZFNuveen Dividend Advantage Municipal Fund 3DEFinancNtBnkNational Commercial BanksCitigroup IncNYTS.am-6,87525,00120-231I27-4-12-12-8-4-5-214451326
1/19/11 17:28
1/11/11
PPRIng Prime Rate TrustMAFundCEFClosed-End FundsCitigroup IncNYTS.m-5,15025,00030-161I87764320013586-3
1/14/11 16:21
1/12/11
NUNNuveen New York Quality Income Municipal Fund IncDEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-6,57525,00110-1000I366-5-10-4-1-3-213341126
1/14/11 16:21
1/12/11
NZFNuveen Dividend Advantage Municipal Fund 3DEFinancNtBnkNational Commercial BanksCitigroup IncNYTS.m-4,62525,00110-151I32-1-10-12-8-3-3-312561426
1/13/11 16:22
1/11/11
NIFNuveen Premier Insured Municipal Income Fund IncDEFinancNtBnkNational Commercial BanksCitigroup IncNYTS.m-14,50125,0011-1-1000I20-4-13-15-7-2-4-3025121835
1/11/11 17:04
1/10/11
PPRIng Prime Rate TrustMAFundCEFClosed-End FundsCitigroup IncNYTS-1,32525,00030-41I751184311111478-2
1/10/11 17:22
1/6/11
NIFNuveen Premier Insured Municipal Income Fund IncDEFinancNtBnkNational Commercial BanksCitigroup IncNYTS-6,67525,00110-321I280-10-14-6-11-1-1-32101729
1/10/11 16:45
1/6/11
PCXPatriot Coal CorpDEMiningCoalBituminous Coal & Lignite MinCitigroup IncNYTS.m-12,43122.5133-552-83111I20014927042422314104911-7-65
11/12/10 16:05
11/10/10
PRIPrimerica, Inc.DEInsurLfInsLife InsuranceCitigroup IncNYDTS-2421.404-1029,018I-10684430071304
10/27/10 17:00
10/18/02
STUStudent Loan CorpDEFinancLoanPersonal Credit InstitutionsCitigroup IncNYTS.m-50626.340-19016,002I
10/1/10 17:10
9/29/10
EDMCEducation Management CorporationDEPerSvEduSvEducational ServicesCitigroup IncNYTS.d-55311.9610-46-21,816I-33-554603022-4-7-202040-1
8/24/10 17:23
6/25/10
PRIPrimerica, Inc.DEInsurLfInsLife InsuranceCitigroup IncNYDTS.m-2,58922.634-114029,005I-12-1-7-1-1021824-5
7/2/10 15:46
6/29/10
PCXPatriot Coal CorpDEMiningCoalBituminous Coal & Lignite MinCitigroup IncNYTS-8912.0333-701,662I-8581-25-45-21-31-13-10-377-26990
5/11/10 16:56
2/16/10
PCXPatriot Coal CorpDEMiningCoalBituminous Coal & Lignite MinCitigroup IncNYTS-1416.6433-101,658I-511065636-6-12-535-9-16-29-1535
5/4/10 15:07
4/26/10
NSTCNess Technologies IncDETechSwSvComputer Programming ServicesCitigroup IncNYDS-97.230-103,658I
4/19/10 15:56
4/15/10
PRIPrimerica, Inc.DEInsurLfInsLife InsuranceCitigroup IncNYDTS.d00.0033-16,412-3629,002I14-9287-6-93
4/8/10 16:39
4/7/10
PRIPrimerica, Inc.DEInsurLfInsLife InsuranceCitigroup IncNYDTS-342,66813.9533-24,564-3545,415I21017150-317
11/25/09 09:58
11/23/09
PCXPatriot Coal CorpDEMiningCoalBituminous Coal & Lignite MinCitigroup IncNYTS-74713.4933-55-31,692I-19564736-2101-42-227273126
9/16/09 07:41
9/2/09
NSTCNess Technologies IncDETechSwSvComputer Programming ServicesCitigroup IncNYDS-16.040003,659I
11/20/08 15:50
7/23/08
PCXPatriot Coal CorpDEMiningCoalBituminous Coal & Lignite MinCitigroup IncNYHSee footS-1,03059.2833-17-11,748I-56-86-88-54-57-47-28-23260-5430102
10/29/08 16:36
9/10/08
PCXPatriot Coal CorpDEMiningCoalBituminous Coal & Lignite MinCitigroup IncNYHSee footS.a-6944.9833-201,750I-58-79-54-9-17-247-49-70-65-25
9/12/08 14:56
9/10/08
PCXPatriot Coal CorpDEMiningCoalBituminous Coal & Lignite MinCitigroup IncNYHSee footS-6944.9833-20874I49-49-43-38-31-114-7-59-76-91-71
8/19/08 10:57
8/8/08
PCXPatriot Coal CorpDEMiningCoalBituminous Coal & Lignite MinCitigroup IncNYHSee footS-15104.193300876I1096-17-21-7-617-41-81-92-82
8/5/08 17:23
7/24/08
PCXPatriot Coal CorpDEMiningCoalBituminous Coal & Lignite MinCitigroup IncNYHSee footS.m-3,949119.8933-33-4876I13644-27-19-7-208-2-7-68-88-80
10/16/07 19:02
10/12/07
NTLSNtelos Holdings CorpDETelcoTelcoTelephone Communications (No Citigroup IncNYDS-64,43226.594-2,423-74848I1304539-1-1-2003-10-11-23
9/27/07 17:00
9/25/07
NTLSNtelos Holdings CorpDETelcoTelcoTelephone Communications (No Citigroup IncNYTS-59,80026.503-2,257-413,272I132621020141151009-164
4/5/07 17:51
4/4/07
NTLSNtelos Holdings CorpDETelcoTelcoTelephone Communications (No Citigroup IncNYTS-110,23717.433-6,325-535,528I38557-23-303616465428
3/30/07 17:28
3/28/07
AMISAmis Holdings IncDETechSemicnSemiconductors & Related DeviCitigroup IncNYTS-103,13610.750-9,594-4710,746I
3/2/07 16:34
2/8/07
KEAKeane, Inc.MATechSwSvComputer Programming ServicesCitigroup IncNYTS.m-18714.030-13-1000I
11/29/05 10:44
11/16/05
TLICitigroup Investments Corporate Loan Fund Inc.DEFinancNtBnkNational Commercial BanksCitigroup IncNYHSee GeneS.a-12912.550-10-1000I-7-5-4-4000000071016
11/21/05 16:12
10/24/05
ISILIntersil Corp/deDETechSemicnSemiconductors & Related DeviCitigroup IncNYDS.m-7,95022.9533-346-1000I55538272614610-2-6153-1
11/21/05 16:09
9/8/05
ISILIntersil Corp/deDETechSemicnSemiconductors & Related DeviCitigroup IncNYDS.am-8,63221.5533-401-38650I55538272614610-2-6153-1
10/11/05 12:32
9/20/05
STLWStratos International IncDETechSemicnSemiconductors & Related DeviCitigroup IncNYTS.a-776.040-13-11,534I
9/29/05 12:40
9/28/05
FIMGFischer Imaging CorpDEHealthOthMdX-Ray Apparatus & Tubes & RelCitigroup IncNYHSee GeneS-600.12000-500-49511I
9/28/05 15:35
9/27/05
STLWStratos International IncDETechSemicnSemiconductors & Related DeviCitigroup IncNYHSee GeneS-1385.880-23-21,478I
9/27/05 13:21
9/23/05
STLWStratos International IncDETechSemicnSemiconductors & Related DeviCitigroup IncNYTS.m-3385.850-58-41,502I
9/22/05 15:20
9/20/05
STLWStratos International IncDETechSemicnSemiconductors & Related DeviCitigroup IncNYTS.m-1035.960-17-11,560I
9/21/05 18:21
9/20/05
ISILIntersil Corp/deDETechSemicnSemiconductors & Related DeviCitigroup IncNYDS-32921.4733-15-4346I-242328781-3-3-1-31173223
9/20/05 16:37
9/16/05
STLWStratos International IncDETechSemicnSemiconductors & Related DeviCitigroup IncNYTS.m-1566.010-26-21,577I
9/19/05 15:16
9/15/05
ISILIntersil Corp/deDETechSemicnSemiconductors & Related DeviCitigroup IncNYDS.m-1,36221.4533-63-15362I-2334308960-10-1-3192622
9/16/05 15:06
9/14/05
STLWStratos International IncDETechSemicnSemiconductors & Related DeviCitigroup IncNYTS.m-2445.930-41-31,603I
9/15/05 16:16
9/13/05
ISILIntersil Corp/deDETechSemicnSemiconductors & Related DeviCitigroup IncNYDS.m-4,83521.5531-224-35425I-21373111773-1-1-3-7212223
9/15/05 16:12
9/13/05
STLWStratos International IncDETechSemicnSemiconductors & Related DeviCitigroup IncNYTS-805.790-14-11,644I
9/14/05 15:20
9/8/05
ISILIntersil Corp/deDETechSemicnSemiconductors & Related DeviCitigroup IncNYDS.m-8,63221.5532-401-38650I-223628137740-1-3-6212522
9/13/05 16:22
9/9/05
STLWStratos International IncDETechSemicnSemiconductors & Related DeviCitigroup IncNYTS.m-3495.630-62-41,658I
9/9/05 17:08
9/7/05
FIMGFischer Imaging CorpDEHealthOthMdX-Ray Apparatus & Tubes & RelCitigroup IncNYTS00.75000001,011I
9/8/05 17:42
9/7/05
STLWStratos International IncDETechSemicnSemiconductors & Related DeviCitigroup IncNYTS-305.510-601,720I
9/7/05 16:22
9/2/05
STLWStratos International IncDETechSemicnSemiconductors & Related DeviCitigroup IncNYTS.m-5235.500-95-51,725I
9/2/05 15:44
8/31/05
STLWStratos International IncDETechSemicnSemiconductors & Related DeviCitigroup IncNYTS.m-1135.500-20-11,820I
9/1/05 15:03
8/30/05
STLWStratos International IncDETechSemicnSemiconductors & Related DeviCitigroup IncNYTS-1,5445.510-280-131,841I
8/30/05 18:50
8/26/05
STLWStratos International IncDETechSemicnSemiconductors & Related DeviCitigroup IncNYTS.m-1,2725.500-231-102,121I
8/29/05 16:46
8/25/05
STLWStratos International IncDETechSemicnSemiconductors & Related DeviCitigroup IncNYTS-1075.560-19-12,352I
8/25/05 16:52
8/23/05
STLWStratos International IncDETechSemicnSemiconductors & Related DeviCitigroup IncNYTS.m-1115.510-20-12,372I
8/23/05 16:08
8/19/05
STLWStratos International IncDETechSemicnSemiconductors & Related DeviCitigroup IncNYTS.m-615.530-1102,392I
8/19/05 17:31
8/17/05
STLWStratos International IncDETechSemicnSemiconductors & Related DeviCitigroup IncNYTS.m-3435.500-62-32,403I
8/17/05 16:56
8/15/05
STLWStratos International IncDETechSemicnSemiconductors & Related DeviCitigroup IncNYTS.m-2185.500-40-22,465I
3/28/05 17:42
3/24/05
USFCUsf CorpDETransTruckinTrucking (No Local)Citigroup IncNYHSee GeneS-3,67448.990-75-32,748I
2/9/05 15:14
2/7/05
FWHLFFoster Wheeler LtdD0MachnHvyCnHeavy Construction Non-Bldg CCitigroup IncNYHSee GeneS.d-2,73916.460-166-44,157I
2/8/05 12:47
2/4/05
FWHLFFoster Wheeler LtdD0MachnHvyCnHeavy Construction Non-Bldg CCitigroup IncNYTS.d-5,43915.880-343-74,324I
2/4/05 18:54
2/2/05
FWHLFFoster Wheeler LtdD0MachnHvyCnHeavy Construction Non-Bldg CCitigroup IncNYTS.dm-6,15515.480-398-84,666I
2/2/05 17:26
1/31/05
FWHLFFoster Wheeler LtdD0MachnHvyCnHeavy Construction Non-Bldg CCitigroup IncNYTS.dm-91714.910-62-15,064I
3/5/04 16:20
3/3/04
ONTOn2 Technologies IncCOTechSoftwPrepackaged SoftwareCitigroup IncNYTS.d-820.94000-87-1000I
3/4/04 16:32
3/2/04
ONTOn2 Technologies IncCOTechSoftwPrepackaged SoftwareCitigroup IncNYTS.d-1201.000-120-5887I
3/3/04 16:10
3/1/04
ONTOn2 Technologies IncCOTechSoftwPrepackaged SoftwareCitigroup IncNYTS.d-960.96000-100-33207I
3/2/04 17:24
2/27/04
ONTOn2 Technologies IncCOTechSoftwPrepackaged SoftwareCitigroup IncNYTS.d-1271.000-127-29307I
3/1/04 16:39
2/26/04
ONTOn2 Technologies IncCOTechSoftwPrepackaged SoftwareCitigroup IncNYTS.d-1110.98000-114-21434I
2/27/04 16:06
2/25/04
ONTOn2 Technologies IncCOTechSoftwPrepackaged SoftwareCitigroup IncNYTS.d-771.060-73-12548I
2/26/04 17:07
2/24/04
ONTOn2 Technologies IncCOTechSoftwPrepackaged SoftwareCitigroup IncNYTS.d-481.070-45-7620I
2/25/04 13:24
2/23/04
ONTOn2 Technologies IncCOTechSoftwPrepackaged SoftwareCitigroup IncNYTS.d-451.060-43-6665I
2/24/04 16:32
2/20/04
ONTOn2 Technologies IncCOTechSoftwPrepackaged SoftwareCitigroup IncNYTS.d-541.060-51-7708I
2/23/04 16:51
2/19/04
ONTOn2 Technologies IncCOTechSoftwPrepackaged SoftwareCitigroup IncNYTS.d-441.100-40-10359I
2/20/04 15:03
2/18/04
ONTOn2 Technologies IncCOTechSoftwPrepackaged SoftwareCitigroup IncNYTS.d-781.110-70-15399I
2/19/04 15:32
2/17/04
ONTOn2 Technologies IncCOTechSoftwPrepackaged SoftwareCitigroup IncNYTS.d-801.060-75-14469I
2/18/04 16:38
2/13/04
ONTOn2 Technologies IncCOTechSoftwPrepackaged SoftwareCitigroup IncNYTS.d-501.110-45-8544I
2/17/04 17:19
2/12/04
ONTOn2 Technologies IncCOTechSoftwPrepackaged SoftwareCitigroup IncNYTS.d-451.130-40-6589I
2/13/04 16:22
2/11/04
ONTOn2 Technologies IncCOTechSoftwPrepackaged SoftwareCitigroup IncNYTS.d-341.140-30-5629I
2/13/04 16:22
2/11/04
EMAEmagin CorpDETechSemicnSemiconductors & Related DeviCitigroup IncNYHSee GeneS.d-2152.860-75-32,905I
2/12/04 17:35
2/10/04
ONTOn2 Technologies IncCOTechSoftwPrepackaged SoftwareCitigroup IncNYTS.d-811.160-70-10659I
2/12/04 16:54
2/10/04
EMAEmagin CorpDETechSemicnSemiconductors & Related DeviCitigroup IncNYTS.d-762.620-29-12,980I
2/11/04 13:48
2/9/04
ONTOn2 Technologies IncCOTechSoftwPrepackaged SoftwareCitigroup IncNYTS.d-461.140-40-5729I
2/10/04 16:18
2/6/04
ONTOn2 Technologies IncCOTechSoftwPrepackaged SoftwareCitigroup IncNYTS.d-561.110-50-6769I
2/9/04 12:29
2/5/04
ONTOn2 Technologies IncCOTechSoftwPrepackaged SoftwareCitigroup IncNYTS.d-1061.120-95-10819I
2/6/04 16:57
2/4/04
ONTOn2 Technologies IncCOTechSoftwPrepackaged SoftwareCitigroup IncNYTS.d-1261.050-120-12914I
2/5/04 14:11
2/3/04
ONTOn2 Technologies IncCOTechSoftwPrepackaged SoftwareCitigroup IncNYTS.d-1121.160-97-91,034I
2/4/04 16:15
2/2/04
EMAEmagin CorpDETechSemicnSemiconductors & Related DeviCitigroup IncNYTS.d-572.720-21-13,009I
2/4/04 16:12
2/2/04
ONTOn2 Technologies IncCOTechSoftwPrepackaged SoftwareCitigroup IncNYTS.d-1141.180-97-81,131I
2/3/04 15:08
1/30/04
ONTOn2 Technologies IncCOTechSoftwPrepackaged SoftwareCitigroup IncNYTS.d-761.260-60-51,227I
2/2/04 17:28
1/29/04
ONTOn2 Technologies IncCOTechSoftwPrepackaged SoftwareCitigroup IncNYTS.d-971.270-77-61,287I
1/29/04 17:39
1/28/04
ONTOn2 Technologies IncCOTechSoftwPrepackaged SoftwareCitigroup IncNYTS.d-3181.270-250-151,364I
1/29/04 17:39
1/28/04
EMAEmagin CorpDETechSemicnSemiconductors & Related DeviCitigroup IncNYTS.d-2812.810-100-33,030I
1/29/04 16:40
1/27/04
ONTOn2 Technologies IncCOTechSoftwPrepackaged SoftwareCitigroup IncNYTS.d-731.450-50-31,614I
1/29/04 16:21
1/27/04
EMAEmagin CorpDETechSemicnSemiconductors & Related DeviCitigroup IncNYTS.d-2702.700-100-33,130I
1/28/04 17:40
1/26/04
EMAEmagin CorpDETechSemicnSemiconductors & Related DeviCitigroup IncNYTS.d-3902.600-150-43,230I
1/26/04 17:16
1/22/04
EMAEmagin CorpDETechSemicnSemiconductors & Related DeviCitigroup IncNYTS.d-5582.790-200-63,380I
1/23/04 17:05
1/21/04
EMAEmagin CorpDETechSemicnSemiconductors & Related DeviCitigroup IncNYTS-7482.990-250-73,580I

DDerivative transaction in filing (usually option exercise)
MMultiple transactions in filing; earliest reported transaction date and weighted average transaction price
AAmended filing
EError detected in filing
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
Return to top

Contact