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Holdings

City Financial Investment Co Ltd

Changes: All | New | Increased | Decreased | Sold Out

Portfolio as of:
NameTickerClassSharesChangeValueChange% Port% OSHistDate
MEDICINES CO /DE  NOTE 2.500% 1/130,000,00020,000,00025,879,00015,077,0004.60  Hist 12/31/2018
American Virtual Cloud Technologies, Inc. WRLSCommon2,400,000400,00024,312,0004,392,0004.326.18 Hist 12/31/2018
HERBALIFE LTD.  BOND15,000,0005,000,00020,739,0007,686,0003.69  Hist 12/31/2018
LIBERTY MEDIA CORP DEB  BOND25,000,000-22,500,00015,640,000-17,205,0002.78  Hist 12/31/2018
RED HAT INC RHTCommon79,84079,84014,023,00014,023,0002.490.05 Hist 12/31/2018
INTEGRATED DEVICE TECHNOLOGY INC IDTICommon276,500276,50013,391,00013,391,0002.380.21 Hist 12/31/2018
ORBOTECH LTD ORBKCommon233,205-30,91113,185,000-2,514,0002.34  Hist 12/31/2018
PRA GROUP INC PRAACommon15,000,0007,500,00012,749,0004,987,0002.2733.11 Hist 12/31/2018
NEVSUN RESOURCES LTD NSUCOM2,573,7002,573,70011,292,00011,292,0002.01  Hist 12/31/2018
Trinity Merger Corp. TMCXCOM CL A1,000,000725,0009,990,0007,287,0001.78  Hist 12/31/2018
ADVENT TECHNOLOGIES HOLDINGS, INC. AMCIUCommon1,000,0001,000,0009,950,0009,950,0001.77  Hist 12/31/2018
TWENTY-FIRST CENTURY FOX, INC. FOXCL B208,1547,8809,946,000769,0001.77  Hist 12/31/2018
Repay Holdings Corp TBRGCommon1,000,000701,2509,900,0006,999,0001.763.10 Hist 12/31/2018
HYCROFT MINING HOLDING CORP MUDSCommon972,441222,4419,608,0002,322,0001.713.74 Hist 12/31/2018
REDWOOD TRUST INC RWTCommon10,000,0001,000,0009,471,000543,0001.6812.05 Hist 12/31/2018
Kaixin Auto Holdings CMSSSHS792,119592,1198,000,0005,984,0001.423.01 Hist 12/31/2018
NXP Semiconductors N.V. NXPICOM108,423-6,9427,945,000-1,919,0001.41  Hist 12/31/2018
Pure Acquisition Corp. PACQCommon800,000800,0007,872,0007,872,0001.40  Hist 12/31/2018
Velodyne Lidar, Inc. GRAF/UCommon775,000775,0007,750,0007,750,0001.38  Hist 12/31/2018
Fintech Acquisition Corp. III FTACUCommon700,000700,0007,021,0007,021,0001.25  Hist 12/31/2018
Nikola Corp VTIQUCommon650,00050,0006,552,000432,0001.17  Hist 12/31/2018
TESARO, Inc. TSROCommon87,60087,6006,504,0006,504,0001.160.16 Hist 12/31/2018
CF Finance Acquisition Corp. CFFAUCommon650,000650,0006,500,0006,500,0001.16  Hist 12/31/2018
Sentinel Energy Services Inc. STNLCL A625,030625,0306,263,0006,263,0001.11  Hist 12/31/2018
iKang Healthcare Group, Inc. KANGCommon302,52556,0436,165,0001,704,0001.10  Hist 12/31/2018
Union Acquisition Corp. LTNSHS600,000150,0006,042,0001,654,0001.074.17 Hist 12/31/2018
QTS Realty Trust, Inc. QTS/PBPFD62,50062,5005,939,0005,939,0001.06  Hist 12/31/2018
Assertio Therapeutics, Inc  NOTE 2.500% 9/08,500,0008,500,0005,793,0005,793,0001.03  Hist 12/31/2018
USG CORP USGCommon135,000135,0005,759,0005,759,0001.020.10 Hist 12/31/2018
Churchill Capital Corp CCC/UCommon525,00074,1005,308,000740,0000.94  Hist 12/31/2018
ATLAS TECHNICAL CONSULTANTS, INC. BWMCUCommon525,000525,0005,213,0005,213,0000.93  Hist 12/31/2018
DermTech, Inc. CNACSHS506,5006,5005,171,000111,0000.922.73 Hist 12/31/2018
Twelve Seas Investment Co TWLVUUNIT 06/21/2023500,00005,133,000-22,0000.91  Hist 12/31/2018
HCI Group, Inc. HCICommon5,000,0001,916,0005,002,0001,925,0000.8954.49 Hist 12/31/2018
GRID DYNAMICS HOLDINGS, INC. CTACUCommon450,000450,0004,484,0004,484,0000.80  Hist 12/31/2018
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