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GG
Golden Gate Capital Management II, L.L.C. 13F 申报历史与持股 Golden Gate Capital Management II, L.L.C. CIK: 0001385251
高频交易型 集中型投资策略 逆势操作型
申报总市值
US$1.6亿
申报季度: 2013-09-30 · 持股只数: 2
Golden Gate Capital Management II, L.L.C.在最新一期 13F 报告中披露了 2 项持股,申报期为 2013-09-30,总持股市值约为 US$1.6亿,季度换手率为 100.0%。
浏览其他1 亿至 10 亿美元机构 浏览其他以“G”开头的机构
FAQGolden Gate Capital Management II, L.L.C. 是什么机构?属于哪种投资人类型? Golden Gate Capital Management II, L.L.C. 是一家投资管理机构,每季依规定向 SEC 申报 Form 13F,披露其在美国上市股票的持仓信息。根据最新一期申报(2013-09-30),该机构追踪的股票投资组合估值约为 US$1.6亿,分布在 2 个已申报仓位之中。
Golden Gate Capital Management II, L.L.C. 目前前几大持股有哪些? 根据最新 13F 申报,Golden Gate Capital Management II, L.L.C. 按市值排列的前几大持股为:
1. Aeroflex Holding Corp — US$1.1亿 (70.3%)
2. NXP Semiconductors N.V. (NXPI) — US$4619.3万 (29.7%)
Golden Gate Capital Management II, L.L.C. 在最新一期 13F 申报中做了哪些操作? 在最新申报季度中,Golden Gate Capital Management II, L.L.C. 共进行了 2 项显著调整:新建仓 1 个仓位、加仓 0 个既有持股、减仓 0 个仓位,并完全清仓 1 个持股。 其中幅度最大的异动:清仓: Aeroflex Holding CORP; 新建仓: Aeroflex Holding Corp
Golden Gate Capital Management II, L.L.C. 主要集中投资哪些行业板块? 根据目前已申报的股票投资组合,Golden Gate Capital Management II, L.L.C. 的主要板块分布如下:
• Information Technology: 100.0%