Positions per issuer

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

Lime Technologies AB (publ)

LEI code 5493008UUFYDF3ZTHC65
Sum percent 2.9

Current positions

Position holder ISIN Position in percent (%) Position date Previous Position (%)
Citadel Advisors LLC SE0011870195 1,39 2026-06-09 1,4

Historic positions

Position holder ISIN Position in percent (%) Position date Following position (%)
Connor Clark & Lunn Investment Management Ltd. SE0011870195 <0,5 2026-06-11
Citadel Advisors LLC SE0011870195 1,4 2026-05-21 1,39
Citadel Advisors LLC SE0011870195 1,33 2026-05-19 1,4
Citadel Advisors LLC SE0011870195 1,22 2026-05-12 1,33
Citadel Advisors LLC SE0011870195 1,11 2026-05-07 1,22
Connor Clark & Lunn Investment Management Ltd. SE0011870195 0,58 2026-05-05 <0,5
Citadel Advisors LLC SE0011870195 1,02 2026-05-05 1,11
Citadel Advisors LLC SE0011870195 0,93 2026-04-28 1,02
Connor Clark & Lunn Investment Management Ltd. SE0011870195 0,6 2026-04-27 0,58
Citadel Advisors LLC SE0011870195 0,83 2026-04-24 0,93
Connor Clark & Lunn Investment Management Ltd. SE0011870195 0,59 2026-04-22 0,6
Citadel Advisors LLC SE0011870195 0,7 2026-04-22 0,83
Citadel Advisors LLC SE0011870195 0,6 2026-04-21 0,7
Connor Clark & Lunn Investment Management Ltd. SE0011870195 0,62 2026-04-13 0,59
Connor Clark & Lunn Investment Management Ltd. SE0011870195 0,5 2026-03-24 0,62
Connor Clark & Lunn Investment Management Ltd. SE0011870195 <0,5 2026-03-09 0,5
Connor Clark & Lunn Investment Management Ltd. SE0011870195 0,51 2026-03-03 <0,5
JPMorgan Asset Management (UK) Ltd SE0011870195 <0,5 2022-09-12
JPMorgan Asset Management (UK) Ltd SE0011870195 0,51 2022-08-26 <0,5
JPMorgan Asset Management (UK) Ltd SE0011870195 0,69 2022-08-12 0,51
JPMorgan Asset Management (UK) Ltd SE0011870195 0,72 2022-07-25 0,69
JPMorgan Asset Management (UK) Ltd SE0011870195 1,09 2022-07-18 0,72
JPMorgan Asset Management (UK) Ltd SE0011870195 1,16 2022-06-14 1,09
JPMorgan Asset Management (UK) Ltd SE0011870195 1,02 2022-06-13 1,16
JPMorgan Asset Management (UK) Ltd SE0011870195 0,94 2021-07-16 1,02
JPMorgan Asset Management (UK) Ltd SE0011870195 1,14 2021-05-10 0,94
JPMorgan Asset Management (UK) Ltd SE0011870195 0,91 2021-05-05 1,14
JPMorgan Asset Management (UK) Ltd SE0011870195 0,89 2021-05-04 0,91
JPMorgan Asset Management (UK) Ltd SE0011870195 0,71 2021-05-03 0,89