Date | Issuer | Insider | Transaction | Amount | New Balance ⓘ
The balance of securities held by registered holder at the time of the transaction. Insiders may direct multiple registered holders and hold multiple security types.
|
|
---|---|---|---|---|---|---|
Filed 2023-03-20 11:15 Tx date 2023-03-17 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GT NM, L.P. (Control or Direction)
|
Common Shares
10 - Acquisition or disposition in the public market
|
$-38,280
-2,900 vol $13.20 each |
94,203 | |
Filed 2023-02-14 16:34 Tx date 2023-02-13 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: Steven A. Tananbaum (Control or Direction)
|
Common Shares
10 - Acquisition or disposition in the public market
|
$-39,620
-2,800 vol $14.15 each |
112,600 | |
Filed 2023-02-10 16:51 Tx date 2023-02-06 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: Steven A. Tananbaum (Control or Direction)
|
Common Shares
10 - Acquisition or disposition in the public market
|
$-285,000
-20,000 vol $14.25 each |
132,000 | |
Filed 2023-02-10 16:50 Tx date 2023-02-09 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: Steven A. Tananbaum (Control or Direction)
|
Common Shares
10 - Acquisition or disposition in the public market
|
$-204,350.40
-14,400 vol $14.19 each |
117,600 | |
Filed 2023-02-10 16:49 Tx date 2023-02-10 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: Steven A. Tananbaum (Control or Direction)
|
Common Shares
10 - Acquisition or disposition in the public market
|
$-31,130
-2,200 vol $14.15 each |
115,400 | |
Filed 2023-02-10 16:46 Tx date 2023-02-09 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: Steven A. Tananbaum (Control or Direction)
|
Common Shares
22 - Acquisition or disposition pursuant to a take-over bid, merger or acquisition
|
$-204,350.40
-14,400 vol $14.19 each |
||
Filed 2023-02-10 16:46 Tx date 2023-02-06 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: Steven A. Tananbaum (Control or Direction)
|
Common Shares
38 - Redemption, retraction, cancellation, repurchase
|
$-285,000
-20,000 vol $14.25 each |
||
Filed 2023-02-10 16:45 Tx date 2022-10-04 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: Syncora Guarantee Inc. (Control or Direction)
|
Common Shares
38 - Redemption, retraction, cancellation, repurchase
|
$-56,861.60
-4,520 vol $12.58 each |
10,610 | |
Filed 2023-02-10 16:44 Tx date 2022-10-04 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: San Bernardino County Employees' Retirement Association (Control or Direction)
|
Common Shares
38 - Redemption, retraction, cancellation, repurchase
|
$-1,698,136.46
-134,987 vol $12.58 each |
316,845 | |
Filed 2023-02-10 16:43 Tx date 2022-10-04 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GT NM, L.P. (Control or Direction)
|
Common Shares
38 - Redemption, retraction, cancellation, repurchase
|
$-520,434.60
-41,370 vol $12.58 each |
97,103 | |
Filed 2023-02-10 16:42 Tx date 2022-10-04 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GTAM 110 Designated Activity Company (Control or Direction)
|
Common Shares
38 - Redemption, retraction, cancellation, repurchase
|
$-15,125,084.96
-1,202,312 vol $12.58 each |
2,822,085 | |
Filed 2023-02-10 16:41 Tx date 2022-10-04 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Asset Management LUX S.a.r.l. (Control or Direction)
|
Common Shares
38 - Redemption, retraction, cancellation, repurchase
|
$-13,664,660.18
-1,086,221 vol $12.58 each |
2,549,594 | |
Filed 2021-10-28 09:58 Tx date 2021-10-27 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Asset Management LUX S.a.r.l. (Control or Direction)
|
Common Shares
10 - Acquisition or disposition in the public market
|
$-4,215
-300 vol $14.05 each |
3,635,815 | |
Filed 2021-10-04 10:41 Tx date 2021-09-30 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Asset Management LUX S.a.r.l. (Control or Direction)
|
Common Shares
10 - Acquisition or disposition in the public market
|
$-352,000
-25,600 vol $13.75 each |
3,636,115 | |
Filed 2020-12-01 11:35 Tx date 2020-11-30 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: San Bernardino County Employees' Retirement Association (Control or Direction)
|
Common Shares
10 - Acquisition or disposition in the public market
|
$-373,800
-30,000 vol $12.46 each |
451,832 | |
Filed 2020-11-17 16:23 Tx date 2019-07-23 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Partners, LP. (Control or Direction)
|
Common Shares
90 - Change in the nature of ownership
|
$16,385,658
+1,272,376 vol $12.88 each |
1,272,376 | |
Filed 2020-03-26 20:52 Tx date 2019-07-23 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Partners, LP. (Control or Direction)
|
Common Shares
97 - Other
|
$16,385,658
+1,272,376 vol $12.88 each |
||
Filed 2020-11-04 09:12 Tx date 2020-11-03 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GT NM, L.P. (Control or Direction)
|
Common Shares
10 - Acquisition or disposition in the public market
|
$-306,250
-25,000 vol $12.25 each |
138,473 | |
Filed 2020-10-30 11:56 Tx date 2020-10-29 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GT NM, L.P. (Control or Direction)
|
Common Shares
10 - Acquisition or disposition in the public market
|
$-612,500
-50,000 vol $12.25 each |
163,473 | |
Filed 2020-05-04 17:44 Tx date 2020-04-29 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GTAM 110 Designated Activity Company (Control or Direction)
|
Common Shares
90 - Change in the nature of ownership
|
+4,024,397 vol |
4,024,397 | |
Filed 2020-05-04 17:44 Tx date 2018-11-30 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GTAM 110 Designated Activity Company (Control or Direction)
|
Common Shares
00 - Opening Balance-Initial SEDI Report
|
|||
Filed 2020-05-04 17:43 Tx date 2020-04-29 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Asset Management LUX S.a.r.l. (Control or Direction)
|
Common Shares
90 - Change in the nature of ownership
|
+3,661,715 vol |
3,661,715 | |
Filed 2020-05-04 17:43 Tx date 2018-11-30 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Asset Management LUX S.a.r.l. (Control or Direction)
|
Common Shares
00 - Opening Balance-Initial SEDI Report
|
|||
Filed 2020-05-04 17:43 Tx date 2020-04-29 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: MA Multi-Sector Opportunistic Fund, LP (Control or Direction)
|
Common Shares
90 - Change in the nature of ownership
|
-37,647 vol |
0 | |
Filed 2020-05-04 17:42 Tx date 2020-04-29 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: Louisiana State Employees Retirement System (Control or Direction)
|
Common Shares
90 - Change in the nature of ownership
|
-65,484 vol |
0 | |
Filed 2020-05-04 17:42 Tx date 2020-04-29 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: High Yield And Bank Loan Series Trust (Control or Direction)
|
Common Shares
90 - Change in the nature of ownership
|
-211,323 vol |
0 | |
Filed 2020-05-04 17:41 Tx date 2020-04-29 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: Guadalupe Fund, LP (Control or Direction)
|
Common Shares
90 - Change in the nature of ownership
|
-57,940 vol |
0 | |
Filed 2020-05-04 17:40 Tx date 2020-04-29 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree V1 Master Fund, L.P. (Control or Direction)
|
Common Shares
90 - Change in the nature of ownership
|
-151,971 vol |
0 | |
Filed 2020-05-04 17:40 Tx date 2020-04-29 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Select Partners, LP (Control or Direction)
|
Common Shares
90 - Change in the nature of ownership
|
-397,513 vol |
0 | |
Filed 2020-05-04 17:39 Tx date 2020-04-29 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Select Offshore Intermediate Fund, LP (Control or Direction)
|
Common Shares
90 - Change in the nature of ownership
|
-2,338,779 vol |
0 | |
Filed 2020-05-04 17:39 Tx date 2020-04-29 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Partners, LP. (Control or Direction)
|
Common Shares
90 - Change in the nature of ownership
|
-1,339,444 vol |
0 | |
Filed 2020-05-04 17:38 Tx date 2020-04-29 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Offshore Intermediate Fund LP. (Control or Direction)
|
Common Shares
90 - Change in the nature of ownership
|
-1,685,618 vol |
0 | |
Filed 2020-05-04 17:38 Tx date 2020-04-29 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Master Fund, Ltd. (Control or Direction)
|
Common Shares
90 - Change in the nature of ownership
|
-7,400 vol |
0 | |
Filed 2020-05-04 17:34 Tx date 2020-04-29 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Insurance Fund Series Interests of the SALI Multi-Series Fund, L.P. (Control or Direction)
|
Common Shares
90 - Change in the nature of ownership
|
-303,692 vol |
0 | |
Filed 2020-05-04 17:33 Tx date 2020-04-29 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GN3 SIP Limited (Control or Direction)
|
Common Shares
90 - Change in the nature of ownership
|
-768,745 vol |
0 | |
Filed 2020-05-04 17:31 Tx date 2020-04-29 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: Gingko Tree, LLC (Control or Direction)
|
Common Shares
90 - Change in the nature of ownership
|
-213,096 vol |
0 | |
Filed 2020-05-04 17:31 Tx date 2020-04-29 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: Crown Managed Accounts SPC - Crown/GT Segregated Portfolio (Control or Direction)
|
Common Shares
90 - Change in the nature of ownership
|
-107,460 vol |
0 | |
Filed 2020-04-20 09:10 Tx date 2020-04-15 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: Syncora Guarantee Inc. (Control or Direction)
|
Common Shares
10 - Acquisition or disposition in the public market
|
$2,306
+330 vol $6.99 each |
15,130 | |
Filed 2020-04-20 09:09 Tx date 2020-04-15 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree V1 Master Fund, L.P. (Control or Direction)
|
Common Shares
10 - Acquisition or disposition in the public market
|
$3,984
+570 vol $6.99 each |
151,971 | |
Filed 2020-04-09 18:25 Tx date 2020-04-08 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: Syncora Guarantee Inc. (Control or Direction)
|
Common Shares
10 - Acquisition or disposition in the public market
|
$2,789
+400 vol $6.97 each |
14,800 | |
Filed 2020-04-09 18:25 Tx date 2020-04-07 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: Syncora Guarantee Inc. (Control or Direction)
|
Common Shares
10 - Acquisition or disposition in the public market
|
$1,251
+180 vol $6.95 each |
14,400 | |
Filed 2020-04-09 18:24 Tx date 2020-04-08 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree V1 Master Fund, L.P. (Control or Direction)
|
Common Shares
10 - Acquisition or disposition in the public market
|
$4,882
+700 vol $6.97 each |
151,401 | |
Filed 2020-04-09 18:24 Tx date 2020-04-07 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree V1 Master Fund, L.P. (Control or Direction)
|
Common Shares
10 - Acquisition or disposition in the public market
|
$2,224
+320 vol $6.95 each |
150,701 | |
Filed 2020-04-09 18:23 Tx date 2020-04-06 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree V1 Master Fund, L.P. (Control or Direction)
|
Common Shares
10 - Acquisition or disposition in the public market
|
$1,375
+200 vol $6.88 each |
150,381 | |
Filed 2020-04-06 18:55 Tx date 2020-04-03 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: Syncora Guarantee Inc. (Control or Direction)
|
Common Shares
10 - Acquisition or disposition in the public market
|
$8,853
+1,275 vol $6.94 each |
14,220 | |
Filed 2020-04-06 18:54 Tx date 2020-04-03 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree V1 Master Fund, L.P. (Control or Direction)
|
Common Shares
10 - Acquisition or disposition in the public market
|
$15,449
+2,225 vol $6.94 each |
150,181 | |
Filed 2020-04-03 13:37 Tx date 2020-04-02 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: Syncora Guarantee Inc. (Control or Direction)
|
Common Shares
10 - Acquisition or disposition in the public market
|
$7,518
+1,090 vol $6.90 each |
12,945 | |
Filed 2020-04-03 13:37 Tx date 2020-04-02 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree V1 Master Fund, L.P. (Control or Direction)
|
Common Shares
10 - Acquisition or disposition in the public market
|
$13,173
+1,910 vol $6.90 each |
147,956 | |
Filed 2020-04-03 13:36 Tx date 2020-04-01 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: Syncora Guarantee Inc. (Control or Direction)
|
Common Shares
10 - Acquisition or disposition in the public market
|
$13,807
+2,005 vol $6.89 each |
11,855 | |
Filed 2020-04-03 13:36 Tx date 2020-04-01 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree V1 Master Fund, L.P. (Control or Direction)
|
Common Shares
10 - Acquisition or disposition in the public market
|
$24,069
+3,495 vol $6.89 each |
146,046 | |
Filed 2020-03-26 21:06 Tx date 2020-03-25 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: Syncora Guarantee Inc. (Control or Direction)
|
Common Shares
10 - Acquisition or disposition in the public market
|
$64,760
+9,850 vol $6.57 each |
9,850 | |
Filed 2020-03-26 21:05 Tx date 2018-11-30 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: Syncora Guarantee Inc. (Control or Direction)
|
Common Shares
00 - Opening Balance-Initial SEDI Report
|
|||
Filed 2020-03-26 21:05 Tx date 2020-03-16 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: San Bernardino County Employees' Retirement Association (Control or Direction)
|
Common Shares
10 - Acquisition or disposition in the public market
|
$6,093
+685 vol $8.90 each |
481,832 | |
Filed 2020-03-26 21:04 Tx date 2020-03-16 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: MA Multi-Sector Opportunistic Fund, LP (Control or Direction)
|
Common Shares
10 - Acquisition or disposition in the public market
|
$533.71
+60 vol $8.90 each |
37,647 | |
Filed 2020-03-26 21:03 Tx date 2020-03-16 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: Louisiana State Employees Retirement System (Control or Direction)
|
Common Shares
10 - Acquisition or disposition in the public market
|
$845.03
+95 vol $8.90 each |
65,484 | |
Filed 2020-03-26 21:03 Tx date 2020-03-16 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: High Yield And Bank Loan Series Trust (Control or Direction)
|
Common Shares
10 - Acquisition or disposition in the public market
|
$3,869
+435 vol $8.90 each |
211,323 | |
Filed 2020-03-26 21:02 Tx date 2020-03-16 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: Guadalupe Fund, LP (Control or Direction)
|
Common Shares
10 - Acquisition or disposition in the public market
|
$711.61
+80 vol $8.90 each |
57,940 | |
Filed 2020-03-26 21:01 Tx date 2020-03-25 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree V1 Master Fund, L.P. (Control or Direction)
|
Common Shares
10 - Acquisition or disposition in the public market
|
$115,385
+17,550 vol $6.57 each |
142,551 | |
Filed 2020-03-26 21:01 Tx date 2020-03-16 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree V1 Master Fund, L.P. (Control or Direction)
|
Common Shares
10 - Acquisition or disposition in the public market
|
$1,556
+175 vol $8.90 each |
125,001 | |
Filed 2020-03-26 21:00 Tx date 2019-07-01 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree V1 Master Fund, L.P. (Control or Direction)
|
Common Shares
90 - Change in the nature of ownership
|
$883,768
+124,826 vol $7.08 each |
124,826 | |
Filed 2020-03-26 20:55 Tx date 2019-11-01 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Select Offshore Intermediate Fund, LP (Control or Direction)
|
Common Shares
90 - Change in the nature of ownership
|
$3,009,904
+347,564 vol $8.66 each |
2,338,779 | |
Filed 2020-03-26 20:54 Tx date 2019-07-23 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Select Offshore Intermediate Fund, LP (Control or Direction)
|
Common Shares
90 - Change in the nature of ownership
|
$22,432,188
+1,741,900 vol $12.88 each |
1,991,215 | |
Filed 2020-03-26 20:53 Tx date 2019-11-01 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Partners, LP. (Control or Direction)
|
Common Shares
90 - Change in the nature of ownership
|
$580,808
+67,068 vol $8.66 each |
1,339,444 | |
Filed 2020-03-26 20:52 Tx date 2019-07-23 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Partners, LP. (Control or Direction)
|
Common Shares
97 - Other
|
$16,385,658
+1,272,376 vol $12.88 each |
1,272,376 | |
Filed 2020-03-26 20:52 Tx date 2018-11-30 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Partners, LP. (Control or Direction)
|
Common Shares
00 - Opening Balance-Initial SEDI Report
|
|||
Filed 2020-03-26 20:51 Tx date 2019-11-01 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Offshore Intermediate Fund LP. (Control or Direction)
|
Common Shares
90 - Change in the nature of ownership
|
$-3,590,713.12
-414,632 vol $8.66 each |
1,685,618 | |
Filed 2020-03-26 20:51 Tx date 2019-07-23 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Offshore Intermediate Fund LP. (Control or Direction)
|
Common Shares
90 - Change in the nature of ownership
|
$27,047,019
+2,100,250 vol $12.88 each |
2,100,250 | |
Filed 2020-03-26 20:50 Tx date 2018-11-30 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Offshore Intermediate Fund LP. (Control or Direction)
|
Common Shares
00 - Opening Balance-Initial SEDI Report
|
|||
Filed 2020-03-26 20:50 Tx date 2020-03-16 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Master Fund, Ltd. (Control or Direction)
|
Common Shares
10 - Acquisition or disposition in the public market
|
$65,823
+7,400 vol $8.90 each |
7,400 | |
Filed 2020-03-26 20:49 Tx date 2019-07-23 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Master Fund, Ltd. (Control or Direction)
|
Common Shares
90 - Change in the nature of ownership
|
$-70,305,122.96
-5,459,320 vol $12.88 each |
0 | |
Filed 2020-03-26 20:48 Tx date 2019-07-01 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Master Fund, Ltd. (Control or Direction)
|
Common Shares
90 - Change in the nature of ownership
|
$-1,632,697.56
-230,607 vol $7.08 each |
5,459,320 | |
Filed 2020-03-26 20:47 Tx date 2020-03-16 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Insurance Fund Series Interests of the SALI Multi-Series Fund, L.P. (Control or Direction)
|
Common Shares
10 - Acquisition or disposition in the public market
|
$3,558
+400 vol $8.90 each |
303,692 | |
Filed 2020-03-26 20:47 Tx date 2019-07-01 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Insurance Fund Series Interests of the SALI Multi-Series Fund, L.P. (Control or Direction)
|
Common Shares
90 - Change in the nature of ownership
|
$872,128
+123,182 vol $7.08 each |
303,292 | |
Filed 2020-03-26 20:46 Tx date 2019-06-21 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Entrust Master Fund SPC on behalf of and for the account of Segregated Portfolio I (Control or Direction)
|
Common Shares
90 - Change in the nature of ownership
|
$-924,934.10
-117,826 vol $7.85 each |
0 | |
Filed 2020-03-26 20:45 Tx date 2019-08-31 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: San Bernardino County Employees' Retirement Association (Control or Direction)
|
Common Shares
90 - Change in the nature of ownership
|
+481,147 vol |
481,147 | |
Filed 2020-03-26 20:45 Tx date 2018-11-30 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: San Bernardino County Employees' Retirement Association (Control or Direction)
|
Common Shares
00 - Opening Balance-Initial SEDI Report
|
|||
Filed 2020-03-26 20:45 Tx date 2019-08-31 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: Gold Coast Capital Subsidiary X Limited (Control or Direction)
|
Common Shares
90 - Change in the nature of ownership
|
-481,147 vol |
0 | |
Filed 2020-03-26 20:44 Tx date 2020-03-16 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: Gingko Tree, LLC (Control or Direction)
|
Common Shares
10 - Acquisition or disposition in the public market
|
$4,136
+465 vol $8.90 each |
213,096 | |
Filed 2020-03-26 20:43 Tx date 2019-06-21 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: Gingko Tree, LLC (Control or Direction)
|
Common Shares
90 - Change in the nature of ownership
|
$82,982
+10,571 vol $7.85 each |
212,631 | |
Filed 2020-03-26 20:43 Tx date 2020-03-16 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: Crown Managed Accounts SPC - Crown/GT Segregated Portfolio (Control or Direction)
|
Common Shares
10 - Acquisition or disposition in the public market
|
$22,029,300
+205 vol $107,460 each |
107,460 | |
Filed 2020-03-26 20:42 Tx date 2019-06-21 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: Crown Managed Accounts SPC - Crown/GT Segregated Portfolio (Control or Direction)
|
Common Shares
90 - Change in the nature of ownership
|
$841,951
+107,255 vol $7.85 each |
107,255 | |
Filed 2020-03-26 20:41 Tx date 2018-11-30 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: Crown Managed Accounts SPC - Crown/GT Segregated Portfolio (Control or Direction)
|
Common Shares
00 - Opening Balance-Initial SEDI Report
|
|||
Filed 2018-12-05 Tx date 2018-11-30 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: Steven A. Tananbaum (Control or Direction)
|
Common Shares
00 - Opening Balance-Initial SEDI Report
|
152,000 | ||
Filed 2018-12-05 Tx date 2018-11-30 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: Gingko Tree, LLC (Control or Direction)
|
Common Shares
00 - Opening Balance-Initial SEDI Report
|
202,060 | ||
Filed 2018-12-05 Tx date 2018-11-30 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Select Partners, LP (Control or Direction)
|
Common Shares
00 - Opening Balance-Initial SEDI Report
|
70,120 | ||
Filed 2018-12-05 Tx date 2018-11-30 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GN3 SIP Limited (Control or Direction)
|
Common Shares
00 - Opening Balance-Initial SEDI Report
|
768,745 | ||
Filed 2018-12-05 Tx date 2018-11-30 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: MA Multi-Sector Opportunistic Fund, LP (Control or Direction)
|
Common Shares
00 - Opening Balance-Initial SEDI Report
|
37,587 | ||
Filed 2018-12-05 Tx date 2018-11-30 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: Gold Coast Capital Subsidiary X Limited (Control or Direction)
|
Common Shares
00 - Opening Balance-Initial SEDI Report
|
481,147 | ||
Filed 2018-12-05 Tx date 2018-11-30 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Master Fund, Ltd. (Control or Direction)
|
Common Shares
00 - Opening Balance-Initial SEDI Report
|
5,689,927 | ||
Filed 2018-12-05 Tx date 2018-11-30 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Entrust Master Fund SPC on behalf of and for the account of Segregated Portfolio I (Control or Direction)
|
Common Shares
00 - Opening Balance-Initial SEDI Report
|
117,826 | ||
Filed 2018-12-05 Tx date 2018-11-30 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: High Yield And Bank Loan Series Trust (Control or Direction)
|
Common Shares
00 - Opening Balance-Initial SEDI Report
|
210,888 | ||
Filed 2018-12-05 Tx date 2018-11-30 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Insurance Fund Series Interests of the SALI Multi-Series Fund, L.P. (Control or Direction)
|
Common Shares
00 - Opening Balance-Initial SEDI Report
|
180,110 | ||
Filed 2018-12-05 Tx date 2018-11-30 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Select Offshore Intermediate Fund, LP (Control or Direction)
|
Common Shares
00 - Opening Balance-Initial SEDI Report
|
249,315 | ||
Filed 2018-12-05 Tx date 2018-11-30 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: Guadalupe Fund, LP (Control or Direction)
|
Common Shares
00 - Opening Balance-Initial SEDI Report
|
57,860 | ||
Filed 2018-12-05 Tx date 2018-11-30 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GT NM, L.P. (Control or Direction)
|
Common Shares
00 - Opening Balance-Initial SEDI Report
|
213,473 | ||
Filed 2018-12-05 Tx date 2018-11-30 |
$Y
Yellow Pages Limited |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: Louisiana State Employees Retirement System (Control or Direction)
|
Common Shares
00 - Opening Balance-Initial SEDI Report
|
65,389 | ||
Filed 2016-10-14 Tx date 2016-10-05 |
$PNC
Postmedia Network Canada Corp. |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: BayernInvest Alternative Loan Funds, Segment GoldenTree (Control or Direction)
|
Class NC Variable Voting Shares
37 - Stock split or consolidation
|
-27,185 vol |
182 | |
Filed 2016-10-14 Tx date 2016-10-05 |
$PNC
Postmedia Network Canada Corp. |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Offshore Intermediate Fund, LP (Control or Direction)
|
Class NC Variable Voting Shares
37 - Stock split or consolidation
|
-20,158,692 vol |
135,292 | |
Filed 2016-10-14 Tx date 2016-10-05 |
$PNC
Postmedia Network Canada Corp. |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Partners II, LP (Control or Direction)
|
Class NC Variable Voting Shares
37 - Stock split or consolidation
|
-1,685,388 vol |
11,310 | |
Filed 2016-10-14 Tx date 2016-10-05 |
$PNC
Postmedia Network Canada Corp. |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Partners, LP (Control or Direction)
|
Class NC Variable Voting Shares
37 - Stock split or consolidation
|
-12,307,655 vol |
82,601 | |
Filed 2016-10-14 Tx date 2016-10-05 |
$PNC
Postmedia Network Canada Corp. |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Select Offshore Intermediate Fund, LP (Control or Direction)
|
Class NC Variable Voting Shares
37 - Stock split or consolidation
|
-2,127,531 vol |
14,277 | |
Filed 2016-10-14 Tx date 2016-10-05 |
$PNC
Postmedia Network Canada Corp. |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Select Partners, LP (Control or Direction)
|
Class NC Variable Voting Shares
37 - Stock split or consolidation
|
-926,160 vol |
6,215 | |
Filed 2016-10-14 Tx date 2016-10-05 |
$PNC
Postmedia Network Canada Corp. |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GT NM, L.P. (Control or Direction)
|
Class NC Variable Voting Shares
37 - Stock split or consolidation
|
-1,811,579 vol |
12,157 | |
Filed 2016-10-14 Tx date 2016-10-05 |
$PNC
Postmedia Network Canada Corp. |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: Rock Bluff Strategic Fixed Income Partnership, LP (Control or Direction)
|
Class NC Variable Voting Shares
37 - Stock split or consolidation
|
-343,789 vol |
2,306 | |
Filed 2016-10-14 Tx date 2016-10-05 |
$PNC
Postmedia Network Canada Corp. |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Offshore Intermediate Fund II, LP (Control or Direction)
|
Class NC Variable Voting Shares
37 - Stock split or consolidation
|
-2,909,690 vol |
19,527 | |
Filed 2016-10-14 Tx date 2016-10-05 |
$PNC
Postmedia Network Canada Corp. |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Master Fund, Ltd. (Control or Direction)
|
Class NC Variable Voting Shares
37 - Stock split or consolidation
|
-11,870,417 vol |
79,667 | |
Filed 2016-10-14 Tx date 2016-10-05 |
$PNC
Postmedia Network Canada Corp. |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Master Fund II Ltd. (Control or Direction)
|
Class NC Variable Voting Shares
37 - Stock split or consolidation
|
-2,243 vol |
15 | |
Filed 2016-10-14 Tx date 2016-10-05 |
$PNC
Postmedia Network Canada Corp. |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree High Yield Value Master Unit Trust (Control or Direction)
|
Class NC Variable Voting Shares
37 - Stock split or consolidation
|
-3,404,174 vol |
22,845 | |
Filed 2016-10-14 Tx date 2016-10-05 |
$PNC
Postmedia Network Canada Corp. |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: San Bernardino Country Employees Retirement Association (Control or Direction)
|
Class NC Variable Voting Shares
37 - Stock split or consolidation
|
-4,737,850 vol |
31,797 | |
Filed 2016-10-14 Tx date 2016-10-05 |
$PNC
Postmedia Network Canada Corp. |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree High Yield Value Fund Offshore (Strategic), Ltd. (Control or Direction)
|
Class NC Variable Voting Shares
37 - Stock split or consolidation
|
-353,358 vol |
2,371 | |
Filed 2016-10-14 Tx date 2016-10-05 |
$PNC
Postmedia Network Canada Corp. |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree EnTrust Distressed Debt Master Fund, LP (Control or Direction)
|
Class NC Variable Voting Shares
37 - Stock split or consolidation
|
-2,581,727 vol |
17,327 | |
Filed 2016-10-14 Tx date 2016-10-05 |
$PNC
Postmedia Network Canada Corp. |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree EnTrust Distressed Debt Fund, LP (Control or Direction)
|
Class NC Variable Voting Shares
37 - Stock split or consolidation
|
-359,773 vol |
2,414 | |
Filed 2016-10-14 Tx date 2016-10-05 |
$PNC
Postmedia Network Canada Corp. |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Distressed Master Fund 2014 Ltd. (Control or Direction)
|
Class NC Variable Voting Shares
37 - Stock split or consolidation
|
-30,041,558 vol |
201,620 | |
Filed 2016-10-14 Tx date 2016-10-05 |
$PNC
Postmedia Network Canada Corp. |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Distressed Fund 2014 LP (Control or Direction)
|
Class NC Variable Voting Shares
37 - Stock split or consolidation
|
-4,739,327 vol |
31,807 | |
Filed 2016-10-14 Tx date 2016-10-05 |
$PNC
Postmedia Network Canada Corp. |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Distressed Debt Master Fund LP (Control or Direction)
|
Class NC Variable Voting Shares
37 - Stock split or consolidation
|
-26,309,296 vol |
176,572 | |
Filed 2016-10-14 Tx date 2016-10-05 |
$PNC
Postmedia Network Canada Corp. |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Distressed Debt Fund LP (Control or Direction)
|
Class NC Variable Voting Shares
37 - Stock split or consolidation
|
-10,593,453 vol |
71,097 | |
Filed 2016-10-14 Tx date 2016-10-05 |
$PNC
Postmedia Network Canada Corp. |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GN3 SIP Ltd. (Control or Direction)
|
Class NC Variable Voting Shares
37 - Stock split or consolidation
|
-7,999,240 vol |
53,686 | |
Filed 2016-10-14 Tx date 2016-10-05 |
$PNC
Postmedia Network Canada Corp. |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: Credit Fund Golden Ltd. (Control or Direction)
|
Class NC Variable Voting Shares
37 - Stock split or consolidation
|
-426,229 vol |
2,860 | |
Filed 2016-07-05 Tx date 2016-06-30 |
$PNC
Postmedia Network Canada Corp. |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Master Fund, Ltd. (Control or Direction)
|
Class NC Variable Voting Shares
90 - Change in the nature of ownership
|
+114,620 vol |
11,950,084 | |
Filed 2016-07-05 Tx date 2016-06-30 |
$PNC
Postmedia Network Canada Corp. |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Partners, LP (Control or Direction)
|
Class NC Variable Voting Shares
90 - Change in the nature of ownership
|
+311,915 vol |
12,390,256 | |
Filed 2016-07-05 Tx date 2016-06-30 |
$PNC
Postmedia Network Canada Corp. |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Partners, LP (Control or Direction)
|
Class NC Variable Voting Shares
90 - Change in the nature of ownership
|
+426,535 vol |
||
Filed 2016-07-05 Tx date 2016-06-30 |
$PNC
Postmedia Network Canada Corp. |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Master Fund, Ltd. (Control or Direction)
|
Class NC Variable Voting Shares
90 - Change in the nature of ownership
|
+114,620 vol |
||
Filed 2016-07-04 Tx date 2016-06-30 |
$PNC
Postmedia Network Canada Corp. |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Partners, LP (Control or Direction)
|
Class NC Variable Voting Shares
90 - Change in the nature of ownership
|
+426,535 vol |
12,504,876 | |
Filed 2016-07-04 Tx date 2016-06-30 |
$PNC
Postmedia Network Canada Corp. |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Partners (100), LP (Control or Direction)
|
Class NC Variable Voting Shares
90 - Change in the nature of ownership
|
-426,535 vol |
0 | |
Filed 2015-09-15 Tx date 2015-09-10 |
$PNC
Postmedia Network Canada Corp. |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Master Fund, Ltd. (Control or Direction)
|
Class NC Variable Voting Shares
11 - Acquisition or disposition carried out privately
|
+6,304 vol |
11,835,464 | |
Filed 2015-09-15 Tx date 2015-09-10 |
$PNC
Postmedia Network Canada Corp. |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Credit Opportunities Second Financing, Ltd. (Control or Direction)
|
Class NC Variable Voting Shares
11 - Acquisition or disposition carried out privately
|
-6,304 vol |
0 | |
Filed 2015-07-31 Tx date 2015-07-27 |
$PNC
Postmedia Network Canada Corp. |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Partners II, LP (Control or Direction)
|
Class NC Variable Voting Shares
11 - Acquisition or disposition carried out privately
|
$-2,090,000
-2,000,000 vol $1.04 each |
1,696,698 | |
Filed 2015-07-31 Tx date 2015-07-27 |
$PNC
Postmedia Network Canada Corp. |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Master Fund, Ltd. (Control or Direction)
|
Class NC Variable Voting Shares
11 - Acquisition or disposition carried out privately
|
$2,089,999
+2,000,000 vol $1.04 each |
11,829,160 | |
Filed 2015-06-04 Tx date 2011-06-08 |
$PNC
Postmedia Network Canada Corp. |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Credit Opportunities Second Financing, Ltd. (Control or Direction)
|
Class NC Variable Voting Shares
00 - Opening Balance-Initial SEDI Report
|
243,965 | ||
Filed 2015-06-04 Tx date 2011-06-08 |
$PNC
Postmedia Network Canada Corp. |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Credit Opportunities Second Financing, Ltd. (Control or Direction)
|
Class NC Variable Voting Shares
00 - Opening Balance-Initial SEDI Report
|
|||
Filed 2015-05-22 Tx date 2015-05-05 |
$PNC
Postmedia Network Canada Corp. |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: Credit Fund Golden Ltd. (Control or Direction)
|
Class NC Variable Voting Shares
11 - Acquisition or disposition carried out privately
|
$-87,332.40
-121,295 vol $0.72 each |
429,089 | |
Filed 2015-05-22 Tx date 2015-05-01 |
$PNC
Postmedia Network Canada Corp. |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: BayernInvest Alternative Loan Funds, Segment GoldenTree (Control or Direction)
|
Class NC Variable Voting Shares
11 - Acquisition or disposition carried out privately
|
$-168,806.16
-234,453 vol $0.72 each |
27,367 | |
Filed 2015-05-22 Tx date 2015-05-06 |
$PNC
Postmedia Network Canada Corp. |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: San Bernardino Country Employees Retirement Association (Control or Direction)
|
Class NC Variable Voting Shares
11 - Acquisition or disposition carried out privately
|
$42,725
+36,832 vol $1.16 each |
4,769,647 | |
Filed 2015-05-22 Tx date 2015-05-05 |
$PNC
Postmedia Network Canada Corp. |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: San Bernardino Country Employees Retirement Association (Control or Direction)
|
Class NC Variable Voting Shares
11 - Acquisition or disposition carried out privately
|
$565,050
+784,793 vol $0.72 each |
4,732,815 | |
Filed 2015-05-22 Tx date 2015-05-05 |
$PNC
Postmedia Network Canada Corp. |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Select Partners, LP (Control or Direction)
|
Class NC Variable Voting Shares
11 - Acquisition or disposition carried out privately
|
$75,546
+104,926 vol $0.72 each |
932,375 | |
Filed 2015-05-22 Tx date 2015-05-05 |
$PNC
Postmedia Network Canada Corp. |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Select Offshore Intermediate Fund, LP (Control or Direction)
|
Class NC Variable Voting Shares
11 - Acquisition or disposition carried out privately
|
$216,537
+300,746 vol $0.72 each |
2,141,808 | |
Filed 2015-05-22 Tx date 2015-05-05 |
$PNC
Postmedia Network Canada Corp. |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Partners, LP (Control or Direction)
|
Class NC Variable Voting Shares
11 - Acquisition or disposition carried out privately
|
$-1,151,480.88
-1,599,279 vol $0.72 each |
12,078,341 | |
Filed 2015-05-22 Tx date 2015-05-05 |
$PNC
Postmedia Network Canada Corp. |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Partners II, LP (Control or Direction)
|
Class NC Variable Voting Shares
11 - Acquisition or disposition carried out privately
|
$936,873
+1,301,213 vol $0.72 each |
3,696,698 | |
Filed 2015-05-22 Tx date 2015-05-06 |
$PNC
Postmedia Network Canada Corp. |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Partners (100), LP (Control or Direction)
|
Class NC Variable Voting Shares
11 - Acquisition or disposition carried out privately
|
$-766,314.56
-660,616 vol $1.16 each |
426,535 | |
Filed 2015-05-22 Tx date 2015-05-06 |
$PNC
Postmedia Network Canada Corp. |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Offshore Intermediate Fund II, LP (Control or Direction)
|
Class NC Variable Voting Shares
11 - Acquisition or disposition carried out privately
|
$-485,063.28
-418,158 vol $1.16 each |
2,929,217 | |
Filed 2015-05-22 Tx date 2015-05-05 |
$PNC
Postmedia Network Canada Corp. |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Offshore Intermediate Fund II, LP (Control or Direction)
|
Class NC Variable Voting Shares
11 - Acquisition or disposition carried out privately
|
$-983,772.72
-1,366,351 vol $0.72 each |
3,347,375 | |
Filed 2015-05-22 Tx date 2015-05-05 |
$PNC
Postmedia Network Canada Corp. |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Master Fund II Ltd. (Control or Direction)
|
Class NC Variable Voting Shares
11 - Acquisition or disposition carried out privately
|
$-285.12
-396 vol $0.72 each |
2,258 | |
Filed 2015-05-22 Tx date 2015-05-06 |
$PNC
Postmedia Network Canada Corp. |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Distressed Master Fund 2014 Ltd. (Control or Direction)
|
Class NC Variable Voting Shares
11 - Acquisition or disposition carried out privately
|
$1,050,995
+906,031 vol $1.16 each |
30,243,178 | |
Filed 2015-05-22 Tx date 2015-05-06 |
$PNC
Postmedia Network Canada Corp. |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Distressed Fund 2014 LP (Control or Direction)
|
Class NC Variable Voting Shares
11 - Acquisition or disposition carried out privately
|
$157,656
+135,911 vol $1.16 each |
4,771,134 | |
Filed 2015-05-22 Tx date 2015-05-01 |
$PNC
Postmedia Network Canada Corp. |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Distressed Fund 2014 LP (Control or Direction)
|
Class NC Variable Voting Shares
11 - Acquisition or disposition carried out privately
|
$168,806
+234,453 vol $0.72 each |
4,635,223 | |
Filed 2015-05-22 Tx date 2015-05-05 |
$PNC
Postmedia Network Canada Corp. |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Credit Opportunities Second Financing, Ltd. (Control or Direction)
|
Class NC Variable Voting Shares
11 - Acquisition or disposition carried out privately
|
$-7,363.44
-10,227 vol $0.72 each |
83,115 | |
Filed 2015-05-22 Tx date 2015-05-05 |
$PNC
Postmedia Network Canada Corp. |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GN3 SIP Ltd. (Control or Direction)
|
Class NC Variable Voting Shares
11 - Acquisition or disposition carried out privately
|
$436,226
+605,870 vol $0.72 each |
8,052,926 | |
Filed 2015-05-21 Tx date 2015-03-11 |
$PNC
Postmedia Network Canada Corp. |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Master Fund, Ltd. (Control or Direction)
|
Class NC Variable Voting Shares
90 - Change in the nature of ownership
|
+1,052 vol |
1,406,493 | |
Filed 2015-05-21 Tx date 2015-03-11 |
$PNC
Postmedia Network Canada Corp. |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Credit Opportunities Second Financing, Ltd. (Control or Direction)
|
Class NC Variable Voting Shares
90 - Change in the nature of ownership
|
-1,052 vol |
76,811 | |
Filed 2015-05-15 Tx date 2015-03-11 |
$PNC
Postmedia Network Canada Corp. |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Master Fund, Ltd. (Control or Direction)
|
Class NC Variable Voting Shares
90 - Change in the nature of ownership
|
+1,052 vol |
||
Filed 2015-05-15 Tx date 2015-03-11 |
$PNC
Postmedia Network Canada Corp. |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Credit Opportunities Second Financing, Ltd. (Control or Direction)
|
Class NC Variable Voting Shares
90 - Change in the nature of ownership
|
-1,052 vol |
||
Filed 2015-05-15 Tx date 2015-03-11 |
$PNC
Postmedia Network Canada Corp. |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Master Fund, Ltd. (Control or Direction)
|
Class NC Variable Voting Shares
90 - Change in the nature of ownership
|
+1,052 vol |
||
Filed 2015-05-15 Tx date 2015-03-11 |
$PNC
Postmedia Network Canada Corp. |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: GoldenTree Credit Opportunities Second Financing, Ltd. (Control or Direction)
|
Class NC Variable Voting Shares
90 - Change in the nature of ownership
|
-1,052 vol |
||
Filed 2015-04-27 Tx date 2014-04-16 |
$PNC
Postmedia Network Canada Corp. |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: Rock Bluff Strategic Fixed Income Partnership, LP (Control or Direction)
|
Class NC Variable Voting Shares
90 - Change in the nature of ownership
|
+36,176 vol |
36,176 | |
Filed 2015-04-27 Tx date 2014-04-16 |
$PNC
Postmedia Network Canada Corp. |
GoldenTree Asset Management LP
3 - 10% Security Holder of Issuer
Holder: TWM High Yield 2008 Partnership, LP (Control or Direction)
|
Class NC Variable Voting Shares
90 - Change in the nature of ownership
|
-36,176 vol |
0 |