SHORT POSITION MONITOR

LIVE

135 changes detected · 7 jurisdictions

+ NEW21
INCREASED48
DECREASED34
× REMOVED32
DE50FR49IT23NO6ES4SE2BE1
JUR
TYPE
ISSUER
HOLDER
PREV
CURR
DELTA
TOTAL
DE
INCREASED
CANCOM SE
Citadel Advisors LLC
0.61
0.71
+0.10
5.16
IT
INCREASED
REPLY SPA
Squarepoint Ops LLC
0.71
0.80
+0.09
0.80
DE
INCREASED
Hypoport SE
Qube Research & Technologies Limited
1.21
1.30
+0.09
4.03
FR
INCREASED
WORLDLINE
Walleye Capital LLC
0.51
0.60
+0.09
2.65
FR
INCREASED
IPSOS
MARSHALL WACE LLP
0.72
0.80
+0.08
0.80
FR
INCREASED
SOITEC
TWO SIGMA INVESTMENTS, LP
0.80
0.88
+0.08
4.55
FR
INCREASED
UBISOFT ENTERTAINMENT
ASTARIS CAPITAL MANAGEMENT LLP
0.74
0.81
+0.07
14.78
IT
INCREASED
STELLANTIS NV
Kintbury Capital LLP
0.57
0.64
+0.07
3.19
DE
INCREASED
LANXESS Aktiengesellschaft
Citadel Advisors Europe Limited
0.74
0.81
+0.07
9.21
FR
INCREASED
VALEO
MILLENNIUM INTERNATIONAL MANAGEMENT LP
1.04
1.11
+0.07
13.67
FR
INCREASED
TELEPERFORMANCE
POINT72 ASSET MANAGEMENT, L.P.
1.68
1.74
+0.06
12.81
NO
INCREASED
ENVIPCO HOLDING N.V.
JPMorgan Asset Management (UK) Ltd
0.75
0.81
+0.06
0.81
FR
INCREASED
SOITEC
Walleye Capital LLC
1.02
1.07
+0.05
4.55
DE
INCREASED
BIGBEARAI HOLDINGS INC
Jupiter Asset Management Limited
0.89
0.92
+0.03
0.92
DE
INCREASED
Symrise AG
Citadel Advisors LLC
0.79
0.81
+0.02
2.11
IT
INCREASED
Digital Value Spa
Connor, Clark & Lunn Investment Management Ltd.
0.69
0.71
+0.02
0.71
IT
INCREASED
DIASORIN SPA
Citadel Advisors LLC
0.48
0.50
+0.02
3.79
IT
INCREASED
ST MICROELECTRONICS NV
D. E. Shaw & Co., L.P.
0.79
0.80
+0.01
1.59
FR
INCREASED
CAPGEMINI
AQR CAPITAL MANAGEMENT, LLC
0.59
0.60
+0.01
1.20
DE
DECREASED
SUSS MicroTec SE
Qube Research & Technologies Limited
1.17
0.93
-0.24
5.74
NO
DECREASED
HUNTER GROUP
Two Sigma Investments, LP
0.78
0.62
-0.16
0.62
FR
DECREASED
UBISOFT ENTERTAINMENT
MARSHALL WACE LLP
2.50
2.36
-0.14
14.78
FR
DECREASED
2CRSI
VOLEON CAPITAL MANAGEMENT LP
1.78
1.64
-0.14
1.64
FR
DECREASED
FORVIA
MILLENNIUM CAPITAL PARTNERS LLP
0.73
0.59
-0.14
3.50
DE
DECREASED
SUSS MicroTec SE
Voleon Capital Management LP
0.89
0.76
-0.13
5.74
DE
DECREASED
TeamViewer SE
Qube Research & Technologies Limited
0.78
0.65
-0.13
8.60
DE
DECREASED
NORMA Group SE
Qube Research & Technologies Limited
1.20
1.07
-0.13
2.19
FR
DECREASED
VIRIDIEN
MILLENNIUM INTERNATIONAL MANAGEMENT LP
0.78
0.66
-0.12
3.03
BE
DECREASED
SOLVAY
BLACKROCK INVESTMENT MANAGEMENT (UK) LIMITED
0.76
0.64
-0.12
5.93
DE
DECREASED
TeamViewer SE
Capital Fund Management SA
0.69
0.57
-0.12
8.60
DE
DECREASED
HENSOLDT AG
Caisse de depot et placement du Quebec
0.67
0.55
-0.12
3.33
IT
DECREASED
NEXI SPA
CAISSE DE DEPOT ET PLACEMENT DU QUEBEC
0.98
0.87
-0.11
6.01
DE
DECREASED
Delivery Hero SE
D. E. Shaw & Co., L.P.
1.58
1.48
-0.10
9.09
FR
DECREASED
ABIVAX
D. E. SHAW & CO., L.P.
1.39
1.29
-0.10
2.71
DE
DECREASED
TeamViewer SE
GLG Partners LP
1.03
0.94
-0.09
8.60
DE
DECREASED
Asahi Yukizai Corporation
Quadrature Capital Limited
0.68
0.59
-0.09
0.59
DE
DECREASED
Delivery Hero SE
Caisse de depot et placement du Quebec
1.01
0.93
-0.08
9.09
FR
DECREASED
VALEO
CITADEL ADVISORS LLC
1.41
1.33
-0.08
13.67
FR
DECREASED
AIR FRANCE-KLM
CAPITAL FUND MANAGEMENT
0.86
0.80
-0.06
2.78
IT
DECREASED
DIASORIN SPA
AQR Capital Management, LLC
1.83
1.78
-0.05
3.79
FR
DECREASED
NEXITY
MARSHALL WACE LLP
1.12
1.08
-0.04
2.82
NO
DECREASED
NEL
Tages Capital LLP
1.11
1.07
-0.04
1.61
DE
DECREASED
Gerresheimer AG
AQR Capital Management, LLC
1.12
1.08
-0.04
12.02
FR
DECREASED
TELEPERFORMANCE
MARSHALL WACE LLP
2.53
2.49
-0.04
12.81
IT
DECREASED
INFRASTRUTTURE WIRELESS ITALIANE SPA - INWIT
AQR Capital Management, LLC
1.02
0.99
-0.03
2.47
DE
DECREASED
Redcare Pharmacy N.V.
AHL Partners LLP
1.22
1.19
-0.03
9.85
FR
DECREASED
TELEPERFORMANCE
MILLENNIUM INTERNATIONAL MANAGEMENT LP
0.80
0.78
-0.02
12.81
FR
DECREASED
UBISOFT ENTERTAINMENT
MILLENNIUM CAPITAL PARTNERS LLP
0.60
0.59
-0.01
14.78
FR
DECREASED
ICADE
MILLENNIUM INTERNATIONAL MANAGEMENT LP
0.60
0.59
-0.01
2.13
NO
DECREASED
LINK MOBILITY GROUP HOLDING
Citadel Advisors LLC
1.50
1.49
-0.01
14.22

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