Senator Management LLC

-

Assets, Funds, Holdings

Home | Sign Up | Log In
New Features
Latest Fund Raises
Related People
Fund Service Providers
Startup & Company Raises
List of Funds
Boston Firms
Boston Hedge Funds
Cornell Alumni Firms
CalPERS Portfolio
NYSCRF Portfolio
User Guide
Regulatory AUM vs AUM
LP Portfolios
Related Firms
Build a Portfolio
Comprehensive Search
Keyboard
Senator Management LLC
CIK #0000144368, 0001443689, 0001816656
Sector Form 13F Holdings Value ($B)
Nvidia Corp 0.1
UAL Corp /DE/ 0.1
Amazon Com Inc 0.1
Microsoft Corp 0.1
Taiwan Semiconductor Manufacturing Co Ltd 0.1
Boeing Co 0.1
Discovery Communications Inc 0.1
Danaher Corp /DE/ 0.1
Woodward Governor Co 0.1
Visa Inc 0.1
View All
Holdings by Sector ($B)
151296302011201620212027
EDGAR Form CIK 2011 - 2026
13F-HR [0001443689]
3 [0001443689]
4 [0001443689]
SC 13D [0001443689]
SC 13G [0001443689]
3 [0001816656]
4 [0001816656]
Form 13D/13G Filer Form 13D/13G Subject Filed
Senator Investment Group LP Perimeter Solutions Sa [2021-11-19]
Senator Investment Group LP Ginkgo Bioworks Holdings Inc [2021-09-27]
Senator Investment Group LP Gores Technology Partners Inc [2021-03-26]
Senator Investment Group LP Altimar Acquisition Corp [2021-02-04]
Senator Investment Group LP Star Peak Corp II [2021-01-19]
Senator Investment Group LP Poema Global Holdings Corp [2021-01-19]
Senator Investment Group LP Golden Falcon Acquisition Corp [2021-01-04]
Senator Investment Group LP South Mountain Merger Corp [2020-11-16]
Senator Investment Group LP Corelogic Inc [2020-06-30]
Senator Investment Group LP Americold Realty Trust [2018-09-24]
View All
Form 3/4/5 Subject 2011 - 2026
Cannae Holdings Inc
Senator Investment Group LP
Senator Master GP LLC
Cannae Holdings LLC
Silverman Douglas
Senator GP LLC
Corelogic Inc
Senator Management LLC
Trade Street Residential Inc
Klabin Alexander
View All
Insider Transaction (Form 3/4/5) Date Action Shares Price Value ($)
Trade Street Residential Inc TSRE
Common Stock, par value $0.01
2015-09-17 Other 9,316,055
API Technologies Corp ATNY
Common Stock
2014-03-07 Sell 5,929,261 $2.41 14,289,519
API Technologies Corp ATNY
Series A Mandatorily Redeemable Preferred Stock · derivative
2013-02-01 Sell $846.00
Idera Pharmaceuticals Inc IDRA
Common Stock
2012-04-23 Sell 91,000 $1.88 171,080
Idera Pharmaceuticals Inc IDRA
Common Stock
2012-04-18 Sell 42,000 $2.09 87,780
Idera Pharmaceuticals Inc IDRA
Common Stock
2012-04-17 Sell 74,000 $2.15 159,100
Idera Pharmaceuticals Inc IDRA
Common Stock
2012-04-17 Sell 4,000 $2.15 8,600
Idera Pharmaceuticals Inc IDRA
Common Stock
2012-04-11 Sell 26,300 $1.85 48,655
Idera Pharmaceuticals Inc IDRA
Common Stock
2012-04-10 Sell 82,000 $1.87 153,340
Idera Pharmaceuticals Inc IDRA
Common Stock
2012-04-09 Sell 15,200 $1.91 29,032
Idera Pharmaceuticals Inc IDRA
Common Stock
2012-03-30 Sell 50,000 $1.87 93,500
Idera Pharmaceuticals Inc IDRA
Common Stock
2012-03-30 Sell 11,624 $1.90 22,086
Idera Pharmaceuticals Inc IDRA
Common Stock
2012-03-29 Sell 49,381 $1.92 94,812
API Technologies Corp ATNY
Convertible Subordinated Note · derivative
2012-03-22 Buy $16,000,000.00
Terms | Privacy | Providers | Companies | Guide
tony@aum13f.com