Positions per issuer

Only positions from 2020-01-01 are shown in the view below.

Precise Biometrics AB

LEI code 54930047Z8TEBJTKYX74
Sum percent 0.1

Current positions

No data available in table

Historic positions

Position holder ISIN Position in percent (%) Position date Following position (%)
Citadel Securities (Europe) Limited SE0018013849 <0,5 2024-10-03
Citadel Securities (Europe) Limited SE0018013849 0,55 2024-10-01 <0,5
Citadel Securities (Europe) Limited SE0018013849 0,62 2024-09-30 0,55
Citadel Securities (Europe) Limited SE0018013849 0,71 2024-09-27 0,62
Citadel Securities (Europe) Limited SE0018013849 <0,5 2024-09-19
Citadel Securities (Europe) Limited SE0018013849 0,58 2024-09-18 <0,5
Citadel Securities (Europe) Limited SE0018013849 0,63 2024-09-17 0,58
Citadel Securities (Europe) Limited SE0018013849 <0,5 2024-09-16 0,63
Citadel Securities (Europe) Limited SE0018013849 0,67 2024-09-13 <0,5
Citadel Securities (Europe) Limited SE0018013849 0,7 2024-09-05 0,67
Citadel Securities (Europe) Limited SE0018013849 0,66 2024-09-02 0,7
Citadel Securities (Europe) Limited SE0018013849 0,73 2024-08-29 0,66
Citadel Securities (Europe) Limited SE0018013849 0,66 2024-08-28 0,73
Citadel Securities (Europe) Limited SE0018013849 <0,5 2024-08-27 0,66
Citadel Securities (Europe) Limited SE0018013849 0,51 2024-08-23 <0,5
Citadel Securities (Europe) Limited SE0018013849 0,77 2024-08-20 0,51
Citadel Securities (Europe) Limited SE0018013849 0,81 2024-08-19 0,77
Citadel Securities (Europe) Limited SE0018013849 0,72 2024-08-09 0,81
Citadel Securities (Europe) Limited SE0018013849 0,66 2024-08-08 0,72
Citadel Securities (Europe) Limited SE0018013849 0,72 2024-08-01 0,66
Citadel Securities (Europe) Limited SE0018013849 0,69 2024-07-31 0,72
Citadel Securities (Europe) Limited SE0018013849 <0,5 2024-07-25
Citadel Securities (Europe) Limited SE0018013849 0,72 2024-07-18 <0,5
Citadel Securities (Europe) Limited SE0018013849 0,69 2024-07-17 0,72
Citadel Securities (Europe) Limited SE0018013849 0,75 2024-07-16 0,69
Citadel Securities (Europe) Limited SE0018013849 0,63 2024-07-15 0,75
Citadel Securities (Europe) Limited SE0018013849 <0,5 2024-07-12 0,63
Citadel Securities (Europe) Limited SE0018013849 0,63 2024-07-11 <0,5
GUEVOURA FUND SE0001823303 <0,5 2023-07-04
GUEVOURA FUND SE0001823303 3,34 2023-06-16 <0,5
GUEVOURA FUND SE0001823303 3,2 2023-06-14 3,34
GUEVOURA FUND SE0001823303 3,13 2023-06-13 3,2
GUEVOURA FUND SE0001823303 3,01 2023-06-12 3,13
GUEVOURA FUND SE0001823303 2,6 2023-06-09 3,01
GUEVOURA FUND SE0001823303 2,37 2023-06-08 2,6
GUEVOURA FUND SE0001823303 1,87 2023-06-07 2,37
GUEVOURA FUND SE0001823303 1,77 2023-06-05 1,87
GUEVOURA FUND SE0001823303 1,01 2023-06-02 1,77
GUEVOURA FUND SE0001823303 0,81 2023-06-01 1,01
GUEVOURA FUND SE0001823303 0,61 2023-05-30 0,81
GUEVOURA FUND SE0001823303 0,51 2023-05-29 0,61