A new Periodic Transaction Report filed under the STOCK Act shows Hon. Nancy Pelosi’s spouse purchased Bloom Energy Corporation (BE) Class A Common Stock derivatives on July 28, 2026. The disclosed amount falls between $500,001 and $1,000,000, and the filer’s own description clarifies the mechanics: ‘100 call options with a strike price of $100 and … Read more
A new Periodic Transaction Report filed with the U.S. House of Representatives shows that Hon. Nancy Pelosi’s spouse purchased shares of Bloom Energy Corporation Class A Common Stock (BE) on July 28, 2026. The filing describes the transaction simply as ‘Purchased 5,000 shares,’ with the total value disclosed in the $500,001 to $1,000,000 range, as … Read more
A new Periodic Transaction Report filed with the U.S. House of Representatives shows Hon. Nancy Pelosi’s spouse purchased shares tied to Bloom Energy Corporation Class A Common Stock (BE), with the transaction valued between $1,000,001 and $5,000,000. The filing lists the transaction date as July 24, 2026, and classifies the move as a congressional buy … Read more
A new Periodic Transaction Report filed under the STOCK Act shows Hon. Nancy Pelosi’s spouse purchased shares of Bloom Energy Corporation Class A Common Stock (BE) on July 24, 2026. The filing describes the transaction plainly: ‘Purchased 10,000 shares.’ The disclosed value range for the purchase falls between $1,000,001 and $5,000,000, placing this among the … Read more
This page tracks Boundless Plain Holdings Ltd’s institutional portfolio moves as disclosed in SEC Form 13F filings, updated every quarter as new filings become public. Rather than a one-time snapshot, it’s meant to be a running record of how this fund has repositioned its holdings over time, filing by filing. During the quarter ending 2026-06-30, … Read more
BIT Capital GmbH is a Germany-based investment manager that discloses its US equity holdings each quarter through SEC Form 13F filings. This profile tracks how the fund’s portfolio shifts over time, quarter by quarter, based solely on what’s reported in those filings. Since a 13F only shows a snapshot of holdings at quarter end rather … Read more
Teilinger Capital Ltd.’s portfolio moves are tracked here quarter by quarter, based on the fund’s SEC Form 13F filings. These filings offer a snapshot of the fund’s U.S. equity holdings at the end of each reporting period, giving a rolling picture of where institutional capital is shifting over time. This page will be updated as … Read more
This page tracks Valliance Asset Management Ltd’s institutional portfolio moves as disclosed in its SEC Form 13F filings, updated every quarter as new data becomes available. Rather than a one-off news snapshot, think of this as a running record of how the fund’s holdings shift over time — new positions, additions, trims, and exits — … Read more