SHORT POSITION MONITOR

LIVE

189 changes detected · 9 jurisdictions

+ NEW25
INCREASED79
DECREASED65
× REMOVED20
UK73DE42SE19FR16NL10IT9ES9BE6NO5
JUR
TYPE
ISSUER
HOLDER
PREV
CURR
DELTA
TOTAL
UK
INCREASED
JUPITER FUND MANAGEMENT PLC
Marshall Wace LLP
0.79
0.80
+0.01
0.80
DE
INCREASED
TeamViewer SE
Connor, Clark & Lunn Investment Management Ltd.
0.99
1.00
+0.01
11.06
UK
INCREASED
QUILTER PLC
Fairtree Asset Management (Pty) Ltd
0.69
0.70
+0.01
0.70
UK
INCREASED
DOMINO'S PIZZA GROUP PLC
D. E. Shaw & Co. LP
0.99
1.00
+0.01
6.81
NL
DECREASED
Avantium N.V.
Voleon Capital Management LP
1.43
0.86
-0.57
0.86
SE
DECREASED
Sivers Semiconductors AB
Qube Research & Technologies Limited
2.06
1.51
-0.55
1.51
BE
DECREASED
SOLVAY
BLACKROCK INVESTMENT MANAGEMENT (UK) LIMITED
1.35
0.90
-0.45
6.48
DE
DECREASED
LANXESS Aktiengesellschaft
BlackRock Investment Management (UK) Limited
2.61
2.21
-0.40
10.78
NO
DECREASED
PCI BIOTECH HOLDING
WORLDQUANT, LLC
0.91
0.57
-0.34
0.57
UK
DECREASED
ASOS PLC
Enhalus Capital, LP
1.65
1.33
-0.32
2.60
SE
DECREASED
BONESUPPORT HOLDING AB
Brummer Multi-Strategy AB
1.27
1.09
-0.18
7.77
DE
DECREASED
Carl Zeiss Meditec AG
Kintbury Capital LLP
1.09
0.93
-0.16
2.43
UK
DECREASED
DOMINO'S PIZZA GROUP PLC
Squarepoint Ops LLC
0.96
0.80
-0.16
6.81
SE
DECREASED
Hexatronic Group AB
Brummer Multi-Strategy AB
1.44
1.30
-0.14
3.01
UK
DECREASED
Evoke plc
GLG Partners LP
0.95
0.82
-0.13
3.29
IT
DECREASED
F.I.L.A. FABBRICA ITALIANA LAPIS ED AFFINI SPA
Marshall Wace LLP
1.03
0.90
-0.13
1.51
DE
DECREASED
Kontron AG
Marble Bar Asset Management LLP
1.01
0.88
-0.13
7.27
UK
DECREASED
Fevertree Drinks
Citadel Advisors LLC
0.69
0.56
-0.13
0.56
DE
DECREASED
LANXESS Aktiengesellschaft
JPMorgan Asset Management (UK) Ltd
2.52
2.39
-0.13
10.78
UK
DECREASED
Mobico Group PLC
GLG Partners LP
1.33
1.21
-0.12
3.76
DE
DECREASED
PVA TePla AG
JPMorgan Asset Management (UK) Ltd
1.32
1.20
-0.12
1.98
UK
DECREASED
REACH PLC
GLG Partners LP
0.88
0.76
-0.12
1.96
BE
DECREASED
MELEXIS
POINT72 ASSET MANAGEMENT, L.P.
0.95
0.83
-0.12
1.42
ES
DECREASED
ORYZON GENOMICS, S.A.
Voleon Capital Management LP
1.63
1.51
-0.12
2.23
UK
DECREASED
KINGFISHER PLC
Marshall Wace LLP
1.59
1.48
-0.11
6.94
UK
DECREASED
SYNTHOMER PLC
GLG Partners LP
1.27
1.16
-0.11
1.68
UK
DECREASED
MARKS & SPENCER GROUP PLC
BlackRock Financial Management, Inc.
0.79
0.68
-0.11
4.64
UK
DECREASED
TAYLOR WIMPEY PLC
Point72 Europe (London) LLP
0.78
0.67
-0.11
4.40
FR
DECREASED
EXAIL TECHNOLOGIES
D. E. SHAW & CO., L.P.
0.86
0.75
-0.11
8.16
UK
DECREASED
ASHTEAD TECHNOLOGY HOLDINGS PLC
Acadian Asset Management LLC
1.84
1.74
-0.10
3.85
UK
DECREASED
RENTOKIL INITIAL PLC
BlackRock Financial Management, Inc.
0.78
0.68
-0.10
2.79
ES
DECREASED
PHARMA MAR, S.A.
D. E. Shaw & Co., L.P.
0.59
0.49
-0.10
0.49
NO
DECREASED
TGS ASA
Marshall Wace LLP
0.88
0.78
-0.10
2.17
FR
DECREASED
KLEPIERRE
SYQUANT CAPITAL
1.14
1.04
-0.10
1.65
UK
DECREASED
BT GROUP PLC
Canada Pension Plan Investment Board
0.93
0.84
-0.09
2.64
UK
DECREASED
WH SMITH PLC
GLG Partners LP
0.86
0.77
-0.09
9.41
UK
DECREASED
Wizz Air Holdings PLC
Point72 Europe (London) LLP
0.64
0.55
-0.09
16.13
UK
DECREASED
ESSENTRA PLC
Arrowstreet Capital, Limited Partnership
0.66
0.58
-0.08
3.12
DE
DECREASED
Deutsche Pfandbriefbank AG
Citadel Advisors LLC
1.57
1.49
-0.08
8.51
DE
DECREASED
Hudson Pacific Properties Inc
Systematica Investments Limited
1.74
1.66
-0.08
3.05
DE
DECREASED
HelloFresh SE
Marshall Wace LLP
2.14
2.07
-0.07
11.11
IT
DECREASED
AMPLIFON SPA
Capital Fund Management SA
0.51
0.45
-0.06
3.91
UK
DECREASED
Pinewood Technologies Group Plc
ActusRayPartners Limited
0.91
0.87
-0.04
3.44
UK
DECREASED
FUTURE PLC
Walleye Capital LLC
1.53
1.49
-0.04
7.78
UK
DECREASED
SSP GROUP PLC
GLG Partners LP
1.32
1.28
-0.04
2.50
UK
DECREASED
TATE & LYLE PLC
GLG Partners LP
0.92
0.88
-0.04
6.84
FR
DECREASED
UBISOFT ENTERTAINMENT
CITADEL ADVISORS LLC
2.80
2.76
-0.04
14.43
FR
DECREASED
TELEPERFORMANCE
SQUAREPOINT OPS LLC
1.52
1.48
-0.04
13.48
NL
DECREASED
Signify N.V.
Marshall Wace LLP
2.00
1.96
-0.04
12.24
DE
DECREASED
Deutsche Lufthansa Aktiengesellschaft
BlackRock Financial Management, Inc.
0.52
0.48
-0.04
0.48

PAGE 3/4 · 189 RESULTS