| Inovio Pharmaceutical INC. |
INO |
STOCK |
Purchase
|
|
$5,000 |
| Netease |
NTES |
STOCK |
Purchase
|
|
$1,001 - $5,000 |
| Netease |
NTES |
STOCK |
Purchase
|
|
$5,001 - $25,000 |
| Netease |
NTES |
STOCK |
Purchase
|
|
$25,001 - $50,000 |
| Netease |
NTES |
STOCK |
Purchase
|
|
$50,001 - $100,000 |
| Netease |
NTES |
STOCK |
Purchase
|
|
$100,001 - $250,000 |
| Netease |
NTES |
STOCK |
Purchase
|
|
$250,001 - $500,000 |
| Netease |
NTES |
STOCK |
Purchase
|
|
$500,001 - $1,000,000 |
| Netease |
NTES |
STOCK |
Purchase
|
|
$1,000,001 - $5,000,000 |
| Netease |
NTES |
STOCK |
Purchase
|
|
$5,000,001 - |
| Chartres Schwab Corporation |
SCHW |
STOCK |
Purchase
|
|
$25,000 |
| Chartres Schwab Corporation |
SCHW |
STOCK |
Purchase
|
|
$250,000 |
| Chat Commerce Inc. |
CHAT |
STOCK |
Purchase
|
|
$100,000 |
| Chartres Schwab Corporation |
SCHW |
STOCK |
Purchase
|
|
$500,000 |
| AMGEN INC |
AMGN |
STOCK |
Purchase
|
|
$250,001 - $500,000 |
| UNITED HEALTHCARE INC |
UNH |
STOCK |
Purchase
|
|
$100,001 - $250,000 |
| UNITED HEALTHCARE INC |
UNH |
STOCK |
Purchase
|
|
$50,001 - $100,000 |
| UNITED HEALTHCARE INC |
UNH |
STOCK |
Purchase
|
|
$25,001 - $50,000 |
| UNITED HEALTHCARE INC |
UNH |
STOCK |
Purchase
|
|
$10,001 - $25,000 |
| UNITED HEALTHCARE INC |
UNH |
STOCK |
Purchase
|
|
$1,001 - $10,000 |
| UNITED HEALTHCARE INC |
UNH |
STOCK |
Purchase
|
|
$1 - $1,000 |
| UNITED HEALTHCARE INC |
UNH |
STOCK |
Purchase
|
|
$1 - $1,000 |
| UNITED HEALTHCARE INC |
UNH |
STOCK |
Purchase
|
|
$1 - $1,000 |
| UNITED HEALTHCARE INC |
UNH |
STOCK |
Purchase
|
|
$1 - $1,000 |
| UNITED HEALTHCARE INC |
UNH |
STOCK |
Purchase
|
|
$1 - $1,000 |
| UNITED HEALTHCARE INC |
UNH |
STOCK |
Purchase
|
|
$1 - $1,000 |
| UNITED HEALTHCARE INC |
UNH |
STOCK |
Purchase
|
|
$1 - $1,000 |
| UNITED HEALTHCARE INC |
UNH |
STOCK |
Purchase
|
|
$1 - $1,000 |
| UNITED HEALTHCARE INC |
UNH |
STOCK |
Purchase
|
|
$1 - $1,000 |
| UNITED HEALTHCARE INC |
UNH |
STOCK |
Purchase
|
|
$1 - $1,000 |
| UNITED HEALTHCARE INC |
UNH |
STOCK |
Purchase
|
|
$1 - $1,000 |
| UNITED HEALTHCARE INC |
UNH |
STOCK |
Purchase
|
|
$1 - $1,000 |
| ADANI PLC CMRS |
|
FIXED INCOME |
Purchase
|
|
5L-001 - 25L-001 |
| HDFC BANK LTD CMRS |
HDFCBANK |
STOCK |
Purchase
|
|
25L-001 - 25L-001 |
| Inovio Pharmaceutical INC. |
INO |
STOCK |
Purchase
|
|
$25,000 |
| Inovio Pharmaceutical INC. |
INO |
STOCK |
Purchase
|
|
$250,000 |
| Inovio Pharmaceutical INC. |
INO |
STOCK |
Purchase
|
|
$500,000 |
| Inovio Pharmaceutical INC. |
INO |
STOCK |
Purchase
|
|
$500,000 |
| Inovio Pharmaceutical INC. |
INO |
STOCK |
Purchase
|
|
$5,000,000 |
| Netease Corporation |
NTES |
STOCK |
Purchase
|
|
$5,000,000 |
| ALPHABET INC CL C |
GOOG |
STOCK |
Purchase
|
|
$1,000,001 - $5,000,000 |
| AMERICAN EXPRESS COMPANY |
AXP |
STOCK |
Purchase
|
|
$500,001 - $1,000,000 |
| TATA CONSUMER LTD CMRS |
TATACONSUM |
STOCK |
Purchase
|
Aug. 7, 2023 |
25L-001 - 25L-001 |
| S1.001 - F15.001 - F15.002 - F20.001 - F20.002 - F25.001 - F25.002 - F30.001 - F30.002 - F35.001 - F35.002 - F40.001 - F40.002 - F45.001 - F45.002 - F50.001 - F50.002 - F55.001 - F55.002 - F60.001 - F60.002 |
|
nan |
Purchase
|
Sept. 7, 2021 |
2,000,000 |
| S1.001 - F15.001 - F15.002 - F20.001 - F20.002 - F25.001 - F25.002 - F30.001 - F30.002 - F35.001 - F35.002 - F40.001 - F40.002 - F45.001 - F45.002 - F50.001 - F50.002 - F55.001 - F55.002 - F60.001 - F60.002 |
|
nan |
Purchase
|
Sept. 7, 2021 |
2,000,000 |
| S1.001 - F15.001 - F15.002 - F20.001 - F20.002 - F25.001 - F25.002 - F30.001 - F30.002 - F35.001 - F35.002 - F40.001 - F40.002 - F45.001 - F45.002 - F50.001 - F50.002 - F55.001 - F55.002 - F60.001 - F60.002 |
|
nan |
Purchase
|
Sept. 7, 2021 |
2,000,000 |
| S1.001 - F15.001 - F15.002 - F20.001 - F20.002 - F25.001 - F25.002 - F30.001 - F30.002 - F35.001 - F35.002 - F40.001 - F40.002 - F45.001 - F45.002 - F50.001 - F50.002 - F55.001 - F55.002 - F60.001 - F60.002 |
|
nan |
Purchase
|
Sept. 7, 2021 |
2,000,000 |
| S1.001 - F15.001 - F15.002 - F20.001 - F20.002 - F25.001 - F25.002 - F30.001 - F30.002 - F35.001 - F35.002 - F40.001 - F40.002 - F45.001 - F45.002 - F50.001 - F50.002 - F55.001 - F55.002 - F60.001 - F60.002 |
|
nan |
Purchase
|
Sept. 7, 2021 |
2,000,000 |
| S1.001 - F15.001 - F15.002 - F20.001 - F20.002 - F25.001 - F25.002 - F30.001 - F30.002 - F35.001 - F35.002 - F40.001 - F40.002 - F45.001 - F45.002 - F50.001 - F50.002 - F55.001 - F55.002 - F60.001 - F60.002 |
|
nan |
Purchase
|
Sept. 7, 2021 |
2,000,000 |
| S1.001 - F15.001 - F15.002 - F20.001 - F20.002 - F25.001 - F25.002 - F30.001 - F30.002 - F35.001 - F35.002 - F40.001 - F40.002 - F45.001 - F45.002 - F50.001 - F50.002 - F55.001 - F55.002 - F60.001 - F60.002 |
|
nan |
Purchase
|
Sept. 7, 2021 |
215,000,000 |
| S1.001 - F15.001 - F15.002 - F20.001 - F20.002 - F25.001 - F25.002 - F30.001 - F30.002 - F35.001 - F35.002 - F40.001 - F40.002 - F45.001 - F45.002 - F50.001 - F50.002 - F55.001 - F55.002 - F60.001 - F60.002 |
|
nan |
Purchase
|
Sept. 7, 2021 |
250,000,000 |
| S1.001 - F15.001 - F15.002 - F20.001 - F20.002 - F25.001 - F25.002 - F30.001 - F30.002 - F35.001 - F35.002 - F40.001 - F40.002 - F45.001 - F45.002 - F50.001 - F50.002 - F55.001 - F55.002 - F60.001 - F60.002 |
|
nan |
Purchase
|
Sept. 7, 2021 |
250,000,000 |
| S1.001 - F15.001 - F15.002 - F20.001 - F20.002 - F25.001 - F25.002 - F30.001 - F30.002 - F35.001 - F35.002 - F40.001 - F40.002 - F45.001 - F45.002 - F50.001 - F50.002 - F55.001 - F55.002 - F60.001 - F60.002 |
|
nan |
Purchase
|
Sept. 7, 2021 |
250,000,000 |
| S1.001 - F15.001 - F15.002 - F20.001 - F20.002 - F25.001 - F25.002 - F30.001 - F30.002 - F35.001 - F35.002 - F40.001 - F40.002 - F45.001 - F45.002 - F50.001 - F50.002 - F55.001 - F55.002 - F60.001 - F60.002 |
|
nan |
Purchase
|
Sept. 7, 2021 |
500,000,000 |
| S1.001 - F15.001 - F15.002 - F20.001 - F20.002 - F25.001 - F25.002 - F30.001 - F30.002 - F35.001 - F35.002 - F40.001 - F40.002 - F45.001 - F45.002 - F50.001 - F50.002 - F55.001 - F55.002 - F60.001 - F60.002 |
|
nan |
Purchase
|
Sept. 7, 2021 |
500,000,000 |
| S1.001 - F15.001 - F15.002 - F20.001 - F20.002 - F25.001 - F25.002 - F30.001 - F30.002 - F35.001 - F35.002 - F40.001 - F40.002 - F45.001 - F45.002 - F50.001 - F50.002 - F55.001 - F55.002 - F60.001 - F60.002 |
|
nan |
Purchase
|
Sept. 7, 2021 |
50,000,000 - 100,000,000 |
| S1.001 - F15.001 - F15.002 - F20.001 - F20.002 - F25.001 - F25.002 - F30.001 - F30.002 - F35.001 - F35.002 - F40.001 - F40.002 - F45.001 - F45.002 - F50.001 - F50.002 - F55.001 - F55.002 - F60.001 - F60.002 |
|
nan |
Purchase
|
Sept. 7, 2021 |
25,000,000 |
| S1.001 - F15.001 - F15.002 - F20.001 - F20.002 - F25.001 - F25.002 - F30.001 - F30.002 - F35.001 - F35.002 - F40.001 - F40.002 - F45.001 - F45.002 - F50.001 - F50.002 - F55.001 - F55.002 - F60.001 - F60.002 |
|
nan |
Purchase
|
Sept. 7, 2021 |
250,000,000 |
| S1.001 - F15.001 - F15.002 - F20.001 - F20.002 - F25.001 - F25.002 - F30.001 - F30.002 - F35.001 - F35.002 - F40.001 - F40.002 - F45.001 - F45.002 - F50.001 - F50.002 - F55.001 - F55.002 - F60.001 - F60.002 |
|
nan |
Purchase
|
Sept. 7, 2021 |
250,000,000 |
| S1.001 - F15.001 - F15.002 - F20.001 - F20.002 - F25.001 - F25.002 - F30.001 - F30.002 - F35.001 - F35.002 - F40.001 - F40.002 - F45.001 - F45.002 - F50.001 - F50.002 - F55.001 - F55.002 - F60.001 - F60.002 |
|
nan |
Purchase
|
Sept. 7, 2021 |
250,000,000 |
| S1.001 - F15.001 - F15.002 - F20.001 - F20.002 - F25.001 - F25.002 - F30.001 - F30.002 - F35.001 - F35.002 - F40.001 - F40.002 - F45.001 - F45.002 - F50.001 - F50.002 - F55.001 - F55.002 - F60.001 - F60.002 |
|
nan |
Purchase
|
Sept. 7, 2021 |
2,000,000 |
| S1.001 - F15.001 - F15.002 - F20.001 - F20.002 - F25.001 - F25.002 - F30.001 - F30.002 - F35.001 - F35.002 - F40.001 - F40.002 - F45.001 - F45.002 - F50.001 - F50.002 - F55.001 - F55.002 - F60.001 - F60.002 |
|
nan |
Purchase
|
Sept. 7, 2021 |
2,000,000 |
| CONSOLIDATEDOUTPOST TRUST CMR |
COUT |
FUND |
Purchase
|
May 27, 2017 |
$500,000,000,000,001 - $1,000,000,000,000,000 |
| CONSOLIDATEDOUTPOST TRUST CMR |
COUT |
FUND |
Purchase
|
May 27, 2017 |
$1,000 - $15,000 |
| CONSOLIDATEDOUTPOST TRUST CMR |
COUT |
FUND |
Purchase
|
May 27, 2017 |
$15,001 - $25,000 |
| CONSOLIDATEDOUTPOST TRUST CMR |
COUT |
FUND |
Purchase
|
May 27, 2017 |
$25,001 - $50,000 |
| CONSOLIDATEDOUTPOST TRUST CMR |
COUT |
FUND |
Purchase
|
May 27, 2017 |
$50,001 - $100,000 |
| CONSOLIDATEDOUTPOST TRUST CMR |
COUT |
FUND |
Purchase
|
May 27, 2017 |
$100,001 - $250,000 |
| CONSOLIDATEDOUTPOST TRUST CMR |
COUT |
FUND |
Purchase
|
May 27, 2017 |
$250,001 - $500,000 |
| CONSOLIDATEDOUTPOST TRUST CMR |
COUT |
FUND |
Purchase
|
May 27, 2017 |
$500,001 - $1,000,000 |
| CONSOLIDATEDOUTPOST TRUST CMR |
COUT |
FUND |
Purchase
|
May 27, 2017 |
$1,000,001 - $5,000,000 |
| CONSOLIDATEDOUTPOST TRUST CMR |
COUT |
FUND |
Purchase
|
May 27, 2017 |
$5,000,001 - $25,000,000 |
| CONSOLIDATEDOUTPOST TRUST CMR |
COUT |
FUND |
Purchase
|
May 27, 2017 |
$25,000,001 - $50,000,000 |
| CONSOLIDATEDOUTPOST TRUST CMR |
COUT |
FUND |
Purchase
|
May 27, 2017 |
$50,000,001 - $100,000,000 |
| CONSOLIDATEDOUTPOST TRUST CMR |
COUT |
FUND |
Purchase
|
May 27, 2017 |
$100,000,001 - $250,000,000 |
| CONSOLIDATEDOUTPOST TRUST CMR |
COUT |
FUND |
Purchase
|
May 27, 2017 |
$250,000,001 - $500,000,000 |
| CONSOLIDATEDOUTPOST TRUST CMR |
COUT |
FUND |
Purchase
|
May 27, 2017 |
$500,000,001 - $1,000,000,000 |
| CONSOLIDATEDOUTPOST TRUST CMR |
COUT |
FUND |
Purchase
|
May 27, 2017 |
$1,000,000,001 - $5,000,000,000 |
| CONSOLIDATEDOUTPOST TRUST CMR |
COUT |
FUND |
Purchase
|
May 27, 2017 |
$5,000,000,001 - $25,000,000,000 |
| CONSOLIDATEDOUTPOST TRUST CMR |
COUT |
FUND |
Purchase
|
May 27, 2017 |
$25,000,000,001 - $50,000,000,000 |
| CONSOLIDATEDOUTPOST TRUST CMR |
COUT |
FUND |
Purchase
|
May 27, 2017 |
$50,000,000,001 - $100,000,000,000 |
| CONSOLIDATEDOUTPOST TRUST CMR |
COUT |
FUND |
Purchase
|
May 27, 2017 |
$100,000,000,001 - $250,000,000,000 |
| CONSOLIDATEDOUTPOST TRUST CMR |
COUT |
FUND |
Purchase
|
May 27, 2017 |
$250,000,000,001 - $500,000,000,000 |
| CONSOLIDATEDOUTPOST TRUST CMR |
COUT |
FUND |
Purchase
|
May 27, 2017 |
$500,000,000,001 - $1,000,000,000,000 |
| CONSOLIDATEDOUTPOST TRUST CMR |
COUT |
FUND |
Purchase
|
May 27, 2017 |
$1,000,000,000,001 - $5,000,000,000,000 |
| CONSOLIDATEDOUTPOST TRUST CMR |
COUT |
FUND |
Purchase
|
May 27, 2017 |
$5,000,000,000,001 - $25,000,000,000,000 |
| CONSOLIDATEDOUTPOST TRUST CMR |
COUT |
FUND |
Purchase
|
May 27, 2017 |
$25,000,000,000,001 - $50,000,000,000,000 |
| CONSOLIDATEDOUTPOST TRUST CMR |
COUT |
FUND |
Purchase
|
May 27, 2017 |
$50,000,000,000,001 - $100,000,000,000,000 |
| CONSOLIDATEDOUTPOST TRUST CMR |
COUT |
FUND |
Purchase
|
May 27, 2017 |
$100,000,000,000,001 - $250,000,000,000,000 |
| CONSOLIDATEDOUTPOST TRUST CMR |
COUT |
FUND |
Purchase
|
May 27, 2017 |
$250,000,000,000,001 - $500,000,000,000,000 |
| SNC NETWORK CORP |
|
STOCK |
Purchase
|
May 21, 2017 |
100,001 - 250,000 |
| SNC CHEMICAL CORP |
|
STOCK |
Purchase
|
May 21, 2017 |
100,001 - 250,000 |
| SNC PHARMACEUTICAL CORP |
SNC |
STOCK |
Purchase
|
May 21, 2017 |
100,001 - 250,000 |
| SNC MEDICAL CORP |
|
PRIVATE EQUITY |
Purchase
|
May 21, 2017 |
100,001 - 250,000 |
| SNC HOSPITAL CORP |
|
STOCK |
Purchase
|
May 21, 2017 |
100,001 - 250,000 |
| SNC HOTEL CORP |
|
REAL ESTATE |
Purchase
|
May 21, 2017 |
100,001 - 250,000 |
| SNC RESTAURANT CORP |
|
PRIVATE EQUITY |
Purchase
|
May 21, 2017 |
100,001 - 250,000 |
| SNC CLUB CORP |
|
PRIVATE EQUITY |
Purchase
|
May 21, 2017 |
100,001 - 250,000 |
| SNC SPORTS CORP |
|
STOCK |
Purchase
|
May 21, 2017 |
100,001 - 250,000 |
| SNC MEDIA CORP |
|
STOCK |
Purchase
|
May 21, 2017 |
100,001 - 250,000 |
| SNC EDUCATION CORP |
|
PRIVATE EQUITY |
Purchase
|
May 21, 2017 |
100,001 - 250,000 |
| SNC TECH CORP |
|
STOCK |
Purchase
|
May 21, 2017 |
100,001 - 250,000 |
| SNC SOFTWARE CORP |
|
PRIVATE EQUITY |
Purchase
|
May 21, 2017 |
100,001 - 250,000 |
| SNC HARDWARE CORP |
|
PRIVATE EQUITY |
Purchase
|
May 21, 2017 |
100,001 - 250,000 |
| SNC FOOD CORP |
SNC |
STOCK |
Purchase
|
May 21, 2017 |
100,001 - 250,000 |
| SNC CLOUD CORP |
NCSET |
STOCK |
Purchase
|
May 21, 2017 |
100,001 - 250,000 |
| SNC AI CORP |
|
STOCK |
Purchase
|
May 21, 2017 |
100,001 - 250,000 |
| SNC CONSTRUCTION CORP |
|
PRIVATE EQUITY |
Purchase
|
May 21, 2017 |
100,001 - 250,000 |
| SNC ENGINEERING CORP |
|
PRIVATE EQUITY |
Purchase
|
May 21, 2017 |
100,001 - 250,000 |
| SNC MARKETING CORP |
|
PRIVATE EQUITY |
Purchase
|
May 21, 2017 |
100,001 - 250,000 |
| SNC SHIPPING CORP |
SNC |
STOCK |
Purchase
|
May 21, 2017 |
100,001 - 250,000 |
| SNC LOGISTICS CORP |
|
PRIVATE EQUITY |
Purchase
|
May 21, 2017 |
100,001 - 250,000 |
| SNC TRAVEL CORP |
|
PRIVATE EQUITY |
Purchase
|
May 21, 2017 |
100,001 - 250,000 |
| SNC SECURITY CORP |
|
PRIVATE EQUITY |
Purchase
|
May 21, 2017 |
100,001 - 250,000 |
| SNC INSURANCE CORP |
|
STOCK |
Purchase
|
May 21, 2017 |
100,001 - 250,000 |
| SNC ENERGY CORP |
|
STOCK |
Purchase
|
May 21, 2017 |
100,001 - 250,000 |
| SNC MINING CORP |
|
STOCK |
Purchase
|
May 21, 2017 |
100,001 - 250,000 |
| SNC AGRO CORP |
|
PRIVATE EQUITY |
Purchase
|
May 21, 2017 |
100,001 - 250,000 |
| SNC TEXTILE CORP |
|
STOCK |
Purchase
|
May 21, 2017 |
100,001 - 250,000 |
| CONCORD BANCS MORTGAGE CORP |
|
FIXED INCOME |
Purchase
|
May 21, 2017 |
52,001 - 100,000 |
| BANCO DE AMPARA CORP |
|
STOCK |
Purchase
|
May 21, 2017 |
100,001 - 250,000 |
| SNC MORTGAGE CORP |
|
FIXED INCOME |
Purchase
|
May 21, 2017 |
100,001 - 250,000 |
| SNC CAPITAL CORP |
|
PRIVATE EQUITY |
Purchase
|
May 21, 2017 |
100,001 - 250,000 |
| SNC INVESTMENTS CORP |
|
PRIVATE EQUITY |
Purchase
|
May 21, 2017 |
100,001 - 250,000 |
| SNC REALTY CORP |
|
REAL ESTATE |
Purchase
|
May 21, 2017 |
100,001 - 250,000 |
| SNC HOLDINGS CORP |
SNC |
STOCK |
Purchase
|
May 21, 2017 |
100,001 - 250,000 |
| SNC DEVELOPMENT CORP |
|
PRIVATE EQUITY |
Purchase
|
May 21, 2017 |
100,001 - 250,000 |
| SNC LEASING CORP |
|
PRIVATE EQUITY |
Purchase
|
May 21, 2017 |
100,001 - 250,000 |
| SNC SERVICES CORP |
|
PRIVATE EQUITY |
Purchase
|
May 21, 2017 |
100,001 - 250,000 |
| SNC TRADING CORP |
|
PRIVATE EQUITY |
Purchase
|
May 21, 2017 |
100,001 - 250,000 |
| SNC CONSULTANTS CORP |
|
PRIVATE EQUITY |
Purchase
|
May 21, 2017 |
100,001 - 250,000 |
| SNC PROPERTIES CORP |
|
REAL ESTATE |
Purchase
|
May 21, 2017 |
100,001 - 250,000 |
| SNC MANAGEMENT CORP |
|
PRIVATE EQUITY |
Purchase
|
May 21, 2017 |
100,001 - 250,000 |
| SNC INDUSTRIAL CORP |
|
PRIVATE EQUITY |
Purchase
|
May 21, 2017 |
100,001 - 250,000 |
| ASTRA INC COM |
ASTRA |
STOCK |
Purchase
|
May 2, 2017 |
25,000-50,000 |
| ASTRA INC COM |
ASTRA |
STOCK |
Purchase
|
May 2, 2017 |
25,000-50,000 |
| ASTRA INC COM |
ASTRA |
STOCK |
Purchase
|
May 2, 2017 |
25,000-50,000 |
| ASTRA INC COM |
ASTRA |
STOCK |
Purchase
|
May 2, 2017 |
25,000-50,000 |
| ASTRA INC COM |
ASTRA |
STOCK |
Purchase
|
May 2, 2017 |
25,000-50,000 |
| ASTRA INC COM |
ASTRA |
STOCK |
Purchase
|
May 2, 2017 |
25,000-50,000 |
| ASTRA INC COM |
ASTRA |
STOCK |
Purchase
|
May 2, 2017 |
50,000-100,000 |
| ASTRA INC COM |
ASTRA |
STOCK |
Purchase
|
May 2, 2017 |
100,000-250,000 |
| ASTRA INC COM |
ASTRA |
STOCK |
Purchase
|
May 2, 2017 |
250,000-500,000 |
| ASTRA INC COM |
ASTRA |
STOCK |
Purchase
|
May 2, 2017 |
500,000-1,000,000 |
| Example Mega Corp, Common Stock |
|
STOCK |
Sale
|
Feb. 6, 2015 |
$1,001-$15,000 |
| INTUIT INC CMR |
INTU |
STOCK |
Purchase
|
April 3, 2014 |
$25,000 - $50,000 |