Tilray Inc

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Tilray Inc
TickerTLRY
CIK #0001731348
CUSIP88688T100
SectorLife Sciences - Medicinal Chemicals & Botanical Products
Address1920 Eastlake Avenue E, Seattle, WA 98102
Source [EDGAR]
CIK Filing 2011 - 2024
[0001731348] 10-K
[0001731348] 10-Q
[0001731348] 3
[0001731348] 4
[0001731348] 8-K
[0001731348] D
[0001731348] SC 13D
[0001731348] SC 13G
Form 13D/13G Filer Form 13D/13G Subject Filed % Owned
Hudson Bay Capital Management LP Tilray Brands Inc [2023-02-10] 0.99
Tilray Brands Inc HEXO Corp [2022-07-22] 48.0
Tilray Inc Medmen Enterprises Inc [2021-12-17] 43.99
ETF Managers Group LLC Tilray Inc [2020-08-18] 5.42
CVI Investments Inc Tilray Inc [2020-03-20] 0.9
Blue Michael G Tilray Inc [2019-12-23] 10.0
Kennedy Brendan Tilray Inc [2019-12-23] 17.5
GROH Christian Tilray Inc [2019-12-23] 8.2
Form 3/4/5 Filer 2011 - 2024
Merton Carl A
Tilray Brands, Inc.
Simon Irwin D
Gendel Mitchell
Faltischek Denise M
Kennedy Brendan
Hopkinson David G.
Persofsky Renah
Looney Thomas P.
Clanachan David F
Herhalt Johann Michael
Robb Walter E IV
Butts Jodi L.
Meiers James R.
MedMen Enterprises, Inc.
Kruteck Michael C.
Levin Jon Edward
Auerbach Michael
Schroder Soren
Dopp Rebekah
St.Clare Christine
Pucher Andrew
Pastorius Edward Wood JR
Greenwood Maryscott
Dickson Kathryn P
Castaneda Mark
Privateer Holdings, Inc.
Form 13F Holdings
Firm Period DFND Voting Shares
Susquehanna International Group LLP [2023-03-31] DFND 3,518,925.0 10,489,325.0
ETF Managers Group LLC [2023-03-31] SOLE 0.0 7,598,523.0
Citadel Advisors LLC [2023-03-31] DFND 4,148,288.0 4,148,288.0
Vanguard Group Inc [2023-03-31] SOLE 0.0 2,982,062.0
Morgan Stanley [2023-03-31] DFND 2,105,489.0 2,803,026.0
Mirae Asset Global Investments Co., Ltd. [2023-03-31] DFND 2,679,532.0 2,679,532.0
BlackRock Inc. [2023-03-31] SOLE 1,967,168.0 2,324,135.0
Sculptor Capital LP [2023-03-31] DFND 0.0 1,866,200.0
Swiss National Bank [2023-03-31] SOLE 1,319,638.0 1,319,638.0
Public Sector Pension Investment Board [2023-03-31] SOLE 1,285,991.0 1,285,991.0
State Street Corp [2023-03-31] DFND 778,686.0 1,253,087.0
National Bank of Canada /FI/ [2023-03-31] DFND 0.0 1,246,544.0
Alyeska Investment Group LP [2023-03-31] SOLE 1,152,060.0 1,152,060.0
Wolverine Trading LLC [2023-03-31] DFND 0.0 1,149,017.0
TD Asset Management Inc [2023-03-31] SOLE 1,075,434.0 1,075,434.0
Penserra Capital Management LLC [2023-03-31] DFND 0.0 1,045,306.0
California Public Employees Retirement System [2023-03-31] SOLE 997,617.0 997,617.0
PEAK6 Investments LLC [2023-03-31] DFND 949,565.0 949,565.0
Geode Capital Management LLC [2023-03-31] DFND 920,697.0 920,697.0
BNP Paribas Arbitrage SNC [2023-03-31] DFND 0.0 916,759.0
Advisorshares Investments LLC [2023-03-31] SOLE 825,294.0 825,294.0
State of New Jersey Common Pension Fund D [2023-03-31] SOLE 817,429.0 817,429.0
Credit Suisse AG [2023-03-31] DFND 474,667.0 732,863.0
Prentice Capital Management LP [2023-03-31] SOLE 729,077.0 729,077.0
Goldman Sachs Group Inc [2023-03-31] DFND 576,445.0 576,445.0
Northern Trust Corp [2023-03-31] DFND 175,648.0 573,056.0
CIBC Asset Management Inc [2023-03-31] SOLE 542,684.0 542,684.0
California State Teachers Retirement System [2023-03-31] SOLE 537,108.0 537,108.0
Alberta Investment Management Corp [2023-03-31] SOLE 536,300.0 536,300.0
Squarepoint Ops LLC [2023-03-31] DFND 0.0 527,952.0
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