TPG Group Holdings SBS Advisors Inc

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TPG Group Holdings SBS Advisors Inc
CIK #0001495741, 0001903800
CIK Period
0001495741 0001903800
Sector Form 13F Holdings Value ($B)
Lifestance Health Group Inc 2.5
Cushman & Wakefield PLC 0.7
Progyny Inc 0.6
Allogene Therapeutics Inc 0.5
Wellpoint Inc 0.4
Fidelity National Information Services Inc 0.4
Thomson Reuters Corp /Can/ 0.3
Liberty Media Corp 0.3
C3AI Inc 0.2
Comcast Corp 0.2
Uber Technologies Inc 0.2
Pegasystems Inc 0.2
Tyco International Ltd /Ber/ 0.2
Altice USA Inc 0.2
Facebook Inc 0.1
TPG Pace Tech Opportunities Corp 0.1
Microsoft Corp 0.1
Fidelity National Financial Inc 0.1
Vaxcyte Inc 0.1
Ross Stores Inc 0.1
TPG RE Finance Trust Inc 0.1
Atlas Holdings Inc 0.1
Sony Corp 0.1
Koninklijke Philips NV 0.1
MPLX LP 0.1
Rallybio Corp 0.1
 
 
 
 
 
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EDGAR Form CIK 2011 - 2026
13F-HR [0001495741]
3 [0001495741]
4 [0001495741]
SC 13D [0001495741]
SC 13G [0001495741]
3 [0001903800]
4 [0001903800]
Form 13D/13G Filer Form 13D/13G Subject Filed
TPG Group Holdings SBS Advisors Inc Life Time Group Holdings Inc [2021-10-22]
TPG Group Holdings SBS Advisors Inc Rallybio Corp [2021-08-12]
TPG Group Holdings SBS Advisors Inc McAfee Corp [2021-02-12]
TPG Group Holdings SBS Advisors Inc C3AI Inc [2021-02-12]
TPG Group Holdings SBS Advisors Inc EROS STX Global Corp [2020-12-29]
TPG Group Holdings SBS Advisors Inc Fusion Pharmaceuticals Inc [2020-07-10]
TPG Group Holdings SBS Advisors Inc Vaxcyte Inc [2020-06-26]
TPG Group Holdings SBS Advisors Inc Trevi Therapeutics Inc [2020-02-13]
TPG Group Holdings SBS Advisors Inc Progyny Inc [2020-02-13]
TPG Group Holdings SBS Advisors Inc Satsuma Pharmaceuticals Inc [2020-02-13]
View All
Form 3/4/5 Subject 2011 - 2026
TPG GP A LLC
TPG Group Holdings SBS Advisors LLC
TPG Partner Holdings LP
TPG Group Holdings SBS LP
TPG Inc
TPG Pace Solutions Sponsor Series LLC
Vacasa Inc
Coulter James G
TPG Group Holdings SBS Advisors Inc
Bonderman David
View All
Insider Transaction (Form 3/4/5) Date Action Shares Price Value ($)
TPG Inc TPG
TPG Operating Group Common Units · derivative
2023-03-30 Other 1,000,000 $0.00
McAfee Corp MCFE
Class A Unit and Class B Common Stock · derivative
2021-10-12 Conversion 267,398
McAfee Corp MCFE
Class A Common Stock
2021-10-12 Conversion 267,398
McAfee Corp MCFE
Class A Common Stock
2021-10-12 Sell 545,416 $21.71 11,840,981
Life Time Group Holdings Inc LTH
Common Stock
2021-10-12 Buy 2,866,666 $18.00 51,599,988
Life Time Group Holdings Inc LTH
Series A Convertible Participating Preferred Stock · derivative
2021-10-12 Conversion 2,032,318
Life Time Group Holdings Inc LTH
Common Stock
2021-10-12 Conversion 2,503,065
AfterNext HealthTech Acquisition Corp AFTR
Class F Ordinary Shares · derivative
2021-09-25 Other 937,500
McAfee Corp MCFE
Class A Common Stock
2021-09-14 Sell 6,473,440 $21.71 140,538,382
McAfee Corp MCFE
Class A Common Stock
2021-09-14 Conversion 59,097
McAfee Corp MCFE
Class A Unit and Class B Common Stock · derivative
2021-09-14 Conversion 59,097
AfterNext HealthTech Acquisition Corp AFTR
Warrants (right to buy) · derivative
2021-08-16 Grant 4,666,667 $1.50 7,000,000
Progyny Inc PGNY
Common Stock
2021-07-06 Sell 897,778 $60.10 53,956,458
Progyny Inc PGNY
Common Stock
2021-07-02 Sell 33,803 $60.14 2,032,912
Progyny Inc PGNY
Common Stock
2021-07-01 Sell 168,929 $60.42 10,206,690
Progyny Inc PGNY
Common Stock
2021-06-30 Sell 20,914 $60.16 1,258,186
Progyny Inc PGNY
Common Stock
2021-06-29 Sell 500 $62.08 31,040
Progyny Inc PGNY
Common Stock
2021-06-29 Sell 325,547 $61.40 19,988,586
LifeStance Health Group Inc LFST
Common Stock
2021-06-25 Sell 4,371,905 $17.01 74,366,104
Progyny Inc PGNY
Common Stock
2021-06-22 Sell 3,000,000 $59.23 177,690,000
showing 20 of 200 most recent transactions
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