The Boeing Company is an aerospace firm listed on the NYSE, operating in five main segments: Commercial Airplanes, Boeing Military Aircraft (BMA), Network & Space Systems (N&SS), Global Services & Support (GS&S), and Boeing Capital Corporation (BCC).
Algert Global LLC, a registered investment adviser, uses systematic, quantitative strategies to manage private investment funds. They are the general partner or adviser for four main funds, with some based in the Cayman Islands.
Besides these funds, they manage several other strategies including...
North Reef Capital Management LP is a California-based investment advisory firm that provides discretionary investment advisory services to a private investment fund and sub-advises managed accounts of other investment managers.
Panagora Asset Management INC filed its most recent 13F on 11 Aug 2023, for the quarter ended 30 Jun 2023.
TransCanada Corporation, based in Calgary, Canada, is a leading energy infrastructure company in North America. The corporation primarily operates in three sectors: Natural Gas Pipelines, managing pipelines and storage facilities for natural gas; Liquids Pipelines, overseeing the 4.2K-kilometer...
Shopify Inc. is a technology sector company offering a cloud-based commerce platform for small and medium-sized businesses. It allows merchants to manage multiple aspects of their business across various sales channels, including web, mobile, social media, and physical locations.
Condire Management, LP is a Texas-based investment advisory firm, separate from CPMG, Inc. since 2021.
McKinley Capital Management LLC filed its most recent 13F on 25 Jul 2023, for the quarter ended 31 Mar 2023.
Context Capital Management, LLC (CCM) specializes in fixed income and relative-value strategies such as convertible arbitrage, fundamental credit, and event-driven situations.
AB Private Credit Investors LLC filed its most recent ADV on July 07, 2023. The firm disclosed $6.34 B in assets. Its largest client type are pooled investment vehicles and the firm attributes 80.45% of its AUM to pooled investment vehicles.