HoldingsChannel.com
Omni Partners LLP Top Holdings
As of  03/31/2020

   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
ALLERGAN PLC 821,476 -308,484 $145,483
     AGN821,476-308,484$145,483
E TRADE FINANCIAL CORP 2,929,041 +2,929,041 $100,525
     ETFC2,929,041+2,929,041$100,525
TIFFANY & CO NEW 635,705 +635,705 $82,324
     TIF635,705+635,705$82,324
LOGMEIN INC 982,517 +982,517 $81,824
     LOGM982,517+982,517$81,824
CYPRESS SEMICONDUCTOR CORP 3,240,067 +2,105,281 $75,558
     CY3,240,067+2,105,281$75,558
SPRINT CORPORATION 7,289,069 +7,289,069 $62,745
     S7,289,069+7,289,069$62,745
RA PHARMACEUTICALS INC 1,052,744 +212,842 $50,542
     RARX1,052,744+212,842$50,542
TD AMERITRADE HLDG CORP 1,217,509 +573,422 $42,199
     AMTD1,217,509+573,422$42,199
TALLGRASS ENERGY LP 2,506,639 -2,137,781 $41,259
     TGE2,506,639-2,137,781$41,259
FORTY SEVEN INC 305,539 +305,539 $29,155
     FTSV305,539+305,539$29,155
TRINE ACQUISITION CORP      $26,939
     TRNE2,630,373+177,524$26,146
     TRNE.WT1,322,459+89,300$793
WRIGHT MED GROUP NV 914,030 -436,320 $26,187
     WMGI914,030-436,320$26,187
GRAF INDL CORP 2,357,115 -2,218,922 $23,972
     GRAF2,357,115+69,222$23,972
UNITED TECHNOLOGIES CORP 231,505 +231,505 $21,838
     UTX231,505+231,505$21,838
TAUBMAN CTRS INC 456,438 +456,438 $19,116
     TCO456,438+456,438$19,116
ALUSSA ENERGY ACQUISITION CO      $18,861
     ALUS.U1,466,987+266,987$14,523
     ALUS451,914+451,914$4,338
NEBULA ACQUISITION CORP 1,823,116 +1,465,016 $18,505
     NEBU1,823,116+1,465,016$18,505
LEO HOLDINGS CORP 1,780,299 +783,379 $18,337
     LHC1,780,299+783,379$18,337
HAYMAKER ACQUISITION CORP II 1,598,592 +1,598,592 $15,650
     HYAC1,598,592+1,598,592$15,650
PURE ACQUISITION CORP 1,500,000 +675,163 $15,585
     PACQ1,500,000+675,163$15,585
PIVOTAL INVT CORP II      $13,048
     PIC.U1,051,272+31,914$10,471
     PIC260,000+260,000$2,577
ACT II GLOBAL ACQUISITION CO 1,281,097 +1,281,097 $12,644
     ACTT1,281,097+1,281,097$12,644
PAE INC 1,933,499 +1,933,499 $12,548
     PAE1,933,499+1,933,499$12,548
SCHULTZE SPL PURP ACQUSTN CO 1,126,526 +36,333 $11,614
     SAMAU1,126,526+36,333$11,614
FORUM MERGER II CORP 1,073,925 +1,073,925 $11,051
     FMCI1,073,925+1,073,925$11,051
CAESARS ENTMT CORP 1,611,312 -8,596,725 $10,892
     CZR1,611,312-8,596,725$10,892
FORESCOUT TECHNOLOGIES INC 320,452 +320,452 $10,123
     FSCT320,452+320,452$10,123
HILTON GRAND VACATIONS INC 637,328 +33,895 $10,051
     HGV637,328+33,895$10,051
QIAGEN NV 224,492 +155,247 $9,339
     QGEN224,492+155,247$9,339
TECH DATA CORP 62,233 +62,233 $8,143
     TECD62,233+62,233$8,143
PROVIDENCE ACQUISITION 772,050 +22,050 $7,932
     NPAUU772,050+22,050$7,932
STABLE RD ACQUISITION 785,719 +785,719 $7,661
     SRAC785,719+785,719$7,661
CIIG MERGER CORP 772,680 +22,680 $7,572
     CIICU772,680+22,680$7,572
EXPERIENCE INVT CORP 740,100 +740,100 $7,157
     EXPC740,100+740,100$7,157
APEX TECHNOLOGY ACQUISITION 700,000 +700,000 $6,825
     APXT700,000+700,000$6,825
ALTA EQUIPMENT GROUP INC      $5,741
     ALTG1,304,811+1,304,811$5,572
     ALTG.WT187,500+187,500$169
GIGCAPITAL2 INC 549,038 +549,038 $5,463
     GIX549,038+549,038$5,463
LEGACY ACQUISITION CORP      $5,444
     LGC509,824+509,824$5,287
     LGC.WT627,966+627,966$157
VERTIV HOLDINGS CO      $5,401
     VRT593,093+593,093$5,130
     VRT.WT150,743+150,743$271
ACAMAR PARTNERS ACQSITION CO 500,000 +500,000 $4,925
     ACAM500,000+500,000$4,925
THUNDER BRDG ACQUISTION II L 500,000 +500,000 $4,925
     THBR500,000+500,000$4,925
SILVER SPIKE ACQUISITION COR 500,000 +500,000 $4,915
     SSPK500,000+500,000$4,915
PROVIDENCE ACQUISITION 500,000 +500,000 $4,885
     NPA500,000+500,000$4,885
HEALTHCARE MERGER CORP 425,000 +425,000 $4,165
     HCCO425,000+425,000$4,165
FINSERV ACQUISITION CORP 362,500 +362,500 $3,491
     FSRV362,500+362,500$3,491
NAVISTAR INTL CORP NEW 193,780 +193,780 $3,195
     NAV193,780+193,780$3,195
FITBIT INC 474,808 -307,297 $3,162
     FIT474,808-307,297$3,162
LEISURE ACQUISITION CORP 258,231 +258,231 $2,817
     LACQ258,231+258,231$2,817
DIAMONDPEAK HLDGS COR 270,000 +270,000 $2,808
     DPHC270,000+270,000$2,808
GX ACQUISITION CORP 250,000 +250,000 $2,450
     GXGX250,000+250,000$2,450

See Full List: All Stocks Held By Omni Partners LLP
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Omni Partners LLP

Size ($ in 1000's)
At 03/31/2020: $1,135,741
At 12/31/2019: $3,730,334

Omni Partners LLP holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Omni Partners LLP 13F filings. Link to 13F filings: SEC filings

Omni Partners LLP Top Holdings 13F Filings | www.HoldingsChannel.com

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