Vertex Energy Inc

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Vertex Energy Inc
TickerVTNR
CIK #0000890447
CUSIP92534K107
SectorEnergy & Transportation
IndustryRefuse Systems
Phone8666608156
Address1331 Gemini Street Suite 250
Houston, TX 77058
Source [EDGAR]
Market Cap, 13F ($)
Business

We were formed as a Nevada corporation on May 14, 2008. Pursuant to an Amended and Restated Agreement and Plan of Merger dated May 19, 2008, by and between Vertex Holdings, L.P. (formerly Vertex Energy, L.P.), a Texas limited partnership ("Holdings"), us, World Waste Technologies, Inc., a California corporation ("WWT" or "World Waste"), Vertex Merger Sub, LLC, a California limited liability company and our wholly-owned subsidiary ("Merger Subsidiary"), and Benjamin P. Cowart, our Chief Executive Officer, as agent for our shareholders (as amended from time to time, the "Merger Agreement"). Effective on April 16, 2009, World Waste merged with and into Merger Subsidiary, with Merger Subsidiary continuing as the surviving corporation and becoming our wholly-owned subsidiary (the "Merger"). In connection with the Merger, (i) each outstanding share of World Waste common stock was cancelled and exchanged for 0.10 shares of our common stock; (ii) each outstanding share of World Waste Series A preferred stock was cancelled and exchanged for 0.4062 shares of our Series A preferred stock; and (iii) each outstanding share of World Waste Series B preferred stock was cancelled and exchanged for 11.651 shares of our Series A preferred stock.

Additionally, as a result of the Merger, as the successor entity of World Waste, we assumed World Waste's filing obligations with the Securities and Exchange Commission and our common stock began trading on the Over-The-Counter Bulletin Board under the symbol "VTNR.OB" effective May 4, 2009. Subsequently, effective February 13, 2013, our common stock began trading on the NASDAQ Capital Market under the symbol "VTNR", where it has continued to trade.

Effective as of August 31, 2012, we acquired 100% of the outstanding equity interests of Vertex Acquisition Sub, LLC ("Acquisition Sub"), a special purpose entity consisting of substantially all of the assets of Holdings and real-estate properties of B & S Cowart Family L.P. ("B&S LP" and the "Acquisition"). Prior to closing the Acquisition, Holdings contributed to Acquisition Sub substantially all of its assets and liabilities relating to the business of transporting, storing, processing and re-refining petroleum products, crudes and used lubricants, including all of the outstanding equity interests in Holdings' wholly-owned operating subsidiaries, Cedar Marine Terminals, L.P. ("CMT" or "Cedar Marine Terminals"), which operates a 19-acre bulk liquid storage facility and terminal on the Houston Ship Channel, which serves as a truck-in, barge-out facility and provides throughput terminal operations and which terminal is also the site of our proprietary, patented, Thermal Chemical Extraction Process ("TCEP") (described below); Crossroad Carriers, L.P. ("Crossroad") is a common carrier that provides transportation and logistical services for liquid petroleum products, as well as other hazardous materials and product streams; Vertex Recovery, L.P. ("Vertex Recovery"), is a generator solutions company for the recycling and collection of used oil and oil-related residual materials from large regional and national customers throughout the U.S. and Canada, which it facilitates through a network of independent recyclers and franchise collectors; and H&H Oil, L.P. ("H&H Oil"), which collects and recycles used oil and residual materials from customers based in Austin, Baytown, Dallas, San Antonio and Corpus Christi, Texas and B&S LP contributed real estate associated with the operations of H&H Oil.

CIK Filing 2011 - 2023
[0000890447] 10-K
[0000890447] 10-Q
[0000890447] 3
[0000890447] 4
[0000890447] 5
[0000890447] 8-K
[0000890447] D
[0000890447] SC 13D
[0000890447] SC 13G
Form 13D/13G Filer Form 13D/13G Subject Filed % Owned
BlackRock Inc Vertex Energy Inc [2023-02-09] 4.9
BlackRock Inc Vertex Energy Inc [2023-02-08] 5.2
State Street Corp Vertex Energy Inc [2022-10-11] 13.26
Millennium Management LLC Vertex Energy Inc [2022-06-27] 0.7
Jacinto Richard II Vertex Energy Inc [2021-07-09] 6.66
Bunker One USA Inc Vertex Energy Inc [2020-01-17] 6.4
Warren Distribution Inc Vertex Energy Inc [2019-04-26] 8.7
Lytton Laurence W Vertex Energy Inc [2019-03-11] 5.5
Lytton Laurence W Vertex Energy Inc [2018-03-07] 5.4
Trellus Management Company LLC Vertex Energy Inc [2013-02-14] 5.03
Form 3/4/5 Filer 2011 - 2023
Ruiz Alvaro
Vertex Energy Inc.
Haugh Douglas Scott
Rhame James Gary
Cowart Benjamin P
Carlson Chris
Stratton Christopher Allen
Maston Karen Kay
Khoury Odeh
Gregory James P
strickland john noel
Phillips David L
Borgen Dan
Harvey Timothy C
Peel David
Lieb Matthew
Shares Owned of Total
Firm Period DFND Voting Shares
State Street Corp [2023-03-31] DFND 4,372,788.0 4,479,605.0
BlackRock Inc. [2023-03-31] SOLE 3,809,185.0 3,889,167.0
Vanguard Group Inc [2023-03-31] SOLE 0.0 3,701,778.0
Susquehanna International Group LLP [2023-03-31] DFND 43,379.0 3,014,179.0
Bank of America Corp /DE/ [2023-03-31] DFND 55,583.0 2,279,306.0
Trellus Management Company LLC [2023-03-31] SOLE 2,121,076.0 2,121,076.0
Barclays PLC [2023-03-31] SOLE 1,527,383.0 1,527,383.0
Ameriprise Financial Inc [2023-03-31] DFND 0.0 1,389,661.0
Citadel Advisors LLC [2023-03-31] DFND 1,378,831.0 1,378,831.0
Millennium Management LLC [2023-03-31] SOLE 1,303,215.0 1,303,215.0
Geode Capital Management LLC [2023-03-31] DFND 1,137,888.0 1,137,888.0
Hotchkis & Wiley Capital Management LLC [2023-03-31] SOLE 847,530.0 967,230.0
Castleknight Management LP [2023-03-31] SOLE 891,400.0 891,400.0
Morgan Stanley [2023-03-31] DFND 848,111.0 858,491.0
SONA Asset Management US LLC [2023-03-31] SOLE 850,569.0 850,569.0
Wells Fargo & Company/MN [2023-03-31] DFND 20,638.0 831,097.0
Nuveen Asset Management LLC [2023-03-31] DFND 795,063.0 795,063.0
Marshall Wace LLP [2023-03-31] OTR 0.0 682,300.0
Segment Wealth Management LLC [2023-03-31] SOLE 0.0 538,775.0
NWAM LLC [2023-03-31] SOLE 506,640.0 506,640.0
Northern Trust Corp [2023-03-31] DFND 11,093.0 477,861.0
Capital Fund Management Sa [2023-03-31] SOLE 0.0 429,684.0
Rafferty Asset Management LLC [2023-03-31] SOLE 370,750.0 370,750.0
Yaupon Capital Management LP [2023-03-31] SOLE 365,952.0 365,952.0
National Bank of Canada /FI/ [2023-03-31] DFND 0.0 352,000.0
Skaana Management LP [2023-03-31] SOLE 343,000.0 343,000.0
D. E. Shaw & Co., Inc. [2023-03-31] DFND 312,895.0 312,895.0
Wolverine Trading LLC [2023-03-31] DFND 0.0 295,630.0
Baird Financial Group, Inc. [2023-03-31] DFND 280,771.0 283,771.0
Prescott Group Capital Management LLC [2023-03-31] SOLE 280,533.0 280,533.0
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