US90290PAS39 - U.S. Renal Care, Inc., 1st Lien Term Loan C Aktien - Aktienkurs, Institutioneller Eigentümerschaft, Aktionäre

Basisstatistiken
Institutionelle Eigentümer 0 total, 0 long only, 0 short only, 0 long/short - change of -2,13% MRQ
Durchschnittliche Portfolioallokation 0.7654 % - change of 2,14% MRQ
Institutioneller Eigentümerschaft und Aktionäre

U.S. Renal Care, Inc., 1st Lien Term Loan C (US:US90290PAS39) hat 0 institutionelle Eigentümer und Aktionäre, die 13D/G oder 13F Formulare bei der Securities Exchange Commission (SEC) eingereicht haben. Die größten Aktionäre sind .

U.S. Renal Care, Inc., 1st Lien Term Loan C (US90290PAS39) Die institutionelle Eigentümerstruktur zeigt die aktuellen Positionen von Institutionen und Fonds im Unternehmen sowie die jüngsten Veränderungen der Positionsgröße. Zu den Großaktionären können Einzelanleger, Investmentfonds, Hedgefonds oder Institutionen gehören. Der Schedule 13D zeigt an, dass der Investor mehr als 5% des Unternehmens hält (oder gehalten hat) und beabsichtigt (oder beabsichtigt hat), aktiv eine Änderung der Geschäftsstrategie zu verfolgen. Schedule 13G zeigt eine passive Investition von über 5% an.

US90290PAS39 / U.S. Renal Care, Inc., 1st Lien Term Loan C - 10.60718% 2028-06-20 Institutional Ownership
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13F und NPORT Einreichungen

Details zu 13F-Einreichungen sind kostenlos. Für Details zu NP-Einreichungen ist eine Premium-Mitgliedschaft erforderlich. Grüne Zeilen zeigen neue Positionen an. Rote Zeilen zeigen geschlossene Positionen an. Klicken Sie auf das Link Symbol, um den gesamten Transaktionsverlauf zu sehen.

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Datei Datum Quelle Anleger Typ Durchschnittlicher Preis
(Est)
Aktien Δ Aktien
(%)
Gemeldeter
Wert
($1000)
Δ Wert
(%)
Port Alloc
(%)
2025-08-27 NP BBCPX - Bridge Builder Core Plus Bond Fund 886 1,26
2025-08-28 NP PHSIX - PIMCO High Yield Spectrum Fund Institutional Class 754 1,21
2025-09-26 NP Pioneer Diversified High Income Trust 390 4,84
2025-07-29 NP Pioneer Floating Rate Trust 1.601 3,36
2025-08-26 NP RPIDX - T. Rowe Price Dynamic Credit Fund This fund is a listed as child fund of Price T Rowe Associates Inc /md/ and if that institution has disclosed ownership in this security, then these positions will not be double counted when calculating total shares and total value 9.165 85,60
2025-08-28 NP PIMCO FUNDS - PIMCO Sector Fund Series - H 94 1,08
2025-09-25 NP TMSRX - T. Rowe Price Multi-Strategy Total Return Fund This fund is a listed as child fund of Price T Rowe Associates Inc /md/ and if that institution has disclosed ownership in this security, then these positions will not be double counted when calculating total shares and total value 301 4,88
2025-08-28 NP PSRIX - PIMCO Senior Floating Rate Fund Institutional Class 518 1,17
2025-08-28 NP SHYAX - Simt High Yield Bond Fund Class F 372 1,09
2025-09-25 NP JNBAX - JPMorgan Income Builder Fund Class A 3.169 4,83
2025-07-29 NP PRFRX - T. Rowe Price Floating Rate Fund, Inc. This fund is a listed as child fund of Price T Rowe Associates Inc /md/ and if that institution has disclosed ownership in this security, then these positions will not be double counted when calculating total shares and total value 4.546
2025-08-19 NP NORTHWESTERN MUTUAL SERIES FUND INC - Multi-Sector Bond Portfolio 937 1,30
2025-08-29 NP PQIIX - PIMCO Dividend and Income Fund Institutional Class 12 0,00
2025-08-26 NP RPIHX - T. Rowe Price Global High Income Bond Fund This fund is a listed as child fund of Price T Rowe Associates Inc /md/ and if that institution has disclosed ownership in this security, then these positions will not be double counted when calculating total shares and total value 3.257 85,90
2025-08-29 NP PIMCO ETF Trust - PIMCO Multisector Bond Active Exchange-Traded Fund 2.826 1,22
2025-08-29 NP PIINCAM - PIMCO Income Portfolio Administrative Class 112 0,90
2025-07-29 NP RPIFX - T. Rowe Price Institutional Floating Rate Fund This fund is a listed as child fund of Price T Rowe Associates Inc /md/ and if that institution has disclosed ownership in this security, then these positions will not be double counted when calculating total shares and total value 4.753
2025-08-29 NP Pimco Global Stocksplus & Income Fund 1.488 1,22
2025-08-29 NP VPVHYDV - PIMCO High Yield Portfolio Administrative 1.584 1,28
2025-08-29 NP PIMCO Energy & Tactical Credit Opportunities Fund 4.125 1,25
2025-08-29 NP Pimco Strategic Income Fund, Inc 3.787 1,26
2025-08-29 NP PONAX - PIMCO Income Fund Class A 23.095 1,23
2025-08-29 NP PIMCO Dynamic Income Opportunities Fund 39.088 1,24
2025-08-29 NP PFIIX - PIMCO Low Duration Income Fund Institutional 1.973 1,23
2025-05-30 NP PIMCO ETF Trust - PIMCO Senior Loan Active Exchange-Traded Fund 2.414 -43,98
2025-08-29 NP Pimco Income Strategy Fund Ii 17.052 1,23
2025-08-06 NP LINCOLN VARIABLE INSURANCE PRODUCTS TRUST - LVIP JPMorgan High Yield Fund Standard Class 1.161 1,22
2025-08-29 NP PIMCO Access Income Fund 20.226 1,24
2025-08-29 NP Pcm Fund, Inc. 1.935 1,20
2025-08-29 NP Pimco Corporate & Income Strategy Fund 20.223 1,23
2025-07-28 NP OHYFX - JPMorgan High Yield Fund Class I 10.704 3,04
2025-09-26 NP PMACX - Victory Pioneer Multi-Asset Income Fund Class C 792 4,77
2025-08-29 NP HYS - PIMCO 0-5 Year High Yield Corporate Bond Index Exchange-Traded Fund 3.300 1,26
2025-08-21 NP MOFTX - Mercer Opportunistic Fixed Income Fund Class I 2.649
2025-08-29 NP Pimco High Income Fund 20.042 1,24
2025-09-26 NP FLYRX - Victory Pioneer Floating Rate Fund Class Y 1.481 -21,01
2025-07-28 NP JSOSX - JPMorgan Strategic Income Opportunities Fund Class I 2.039 3,08
2025-08-29 NP Pimco Corporate & Income Opportunity Fund 54.949 1,23
2025-08-11 NP Six Circles Trust - Six Circles Multi-Strategy Fund 437 155,56
2025-07-29 NP SGYAX - Siit High Yield Bond Fund - Class A 564 3,11
2025-08-29 NP Pimco Income Strategy Fund 8.990 1,23
2025-08-29 NP Pimco Flexible Credit Income Fund 72.909 1,23
2025-07-29 NP TFLR - T. Rowe Price Floating Rate ETF 301
2025-08-29 NP Pimco Dynamic Income Fund 154.649 1,23
2025-08-29 NP PDIIX - PIMCO Diversified Income Fund Institutional 1.696 1,25
2025-07-28 NP JPHAX - JPMorgan Floating Rate Income Fund Class A 751 3,16
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