Aktie

TLGY ACQUI.CL.A DL-,0001

WKN
A3DFDA
Ticker
TLGY
ISIN
KYG8656T1094
Nasdaq
11,430 USD
+0,020 USD+0,18 %
Geld
11,420 USD
(800 Stk.)
Brief
11,450 USD
(100 Stk.)

Unternehmens­daten

Stammdaten zu TLGY ACQUI.CL.A DL-,0001

WKN
A3DFDA
ISIN
KYG8656T1094
Home-Symbol
TLGY
Symbol
Branche
Sektor
Unternehmen
TLGY ACQUISITION CORP.
Land

Marktdaten

Marktkapitalisierung
39,53 Mio. EUR
Anzahl Aktien
3,72 Mio. Stk.
Streubesitz

Alle Aktien des Unternehmens TLGY ACQUISITION CORP.

Mitglieder & Anteilseigner

Anteilseigner

Wolverine Asset Management LLCWestchester Capital Management LLCW.R. Berkley Corp. (Investment Portfolio)Meteora Capital LLCKarpus Management, Inc.Glazer Capital LLCMizuho Securities USA LLCAtalaya Capital Management LPAtlas Merchant Capital LLCFir Tree Capital Management LPFirst Trust Capital Management LPRadcliffe Capital Management LPHudson Bay Capital Management LPPeriscope Capital, Inc.Koch Industries, Inc. (Investment Management)Polar Asset Management Partners, Inc.Crystalline Management, Inc.LMR Partners LLPYakira Capital Management, Inc.UBS O'Connor LLC
  • Wolverine Asset Management LLC (15,68 %)
  • Westchester Capital Management LLC (13,96 %)
  • W.R. Berkley Corp. (Investment Portfolio) (12,90 %)
  • Meteora Capital LLC (11,40 %)
  • Karpus Management, Inc. (11,30 %)
  • Glazer Capital LLC (11,21 %)
  • Mizuho Securities USA LLC (10,66 %)
  • Atalaya Capital Management LP (9,42 %)
  • Atlas Merchant Capital LLC (9,42 %)
  • Fir Tree Capital Management LP (7,88 %)
  • First Trust Capital Management LP (7,46 %)
  • Radcliffe Capital Management LP (6,72 %)
  • Hudson Bay Capital Management LP (5,82 %)
  • Periscope Capital, Inc. (5,39 %)
  • Koch Industries, Inc. (Investment Management) (5,38 %)
  • Polar Asset Management Partners, Inc. (5,38 %)
  • Crystalline Management, Inc. (5,19 %)
  • LMR Partners LLP (4,71 %)
  • Yakira Capital Management, Inc. (4,30 %)
  • UBS O'Connor LLC (4,21 %)

Kontakt

TLGY Acquisition Corp.

Bilanz von TLGY ACQUISITION CORP.

Gewinn & Verlust von TLGY ACQUISITION CORP.