ANSON FUNDS MANAGEMENT LP sold 5.0% of their position (473K shares) of TRILOGY INTERNATIONAL PARTNERS INC. on the open market
Open‑market sale worth $29.9K — a moderate reduction. Review remaining holdings and any 10b5‑1 plan disclosures.
S · 4 sales
Filed: 2/26/2024ACC: 0000950170-24-019892
10% Owner
Since Jan 2023
-473K
Net shares
Net seller
$29.9K
Total sold
4
Open market trades
0B · 4S
4
Total transactions
473K disposed
Non-Derivative Transactions4
Common Shares, no par value
Indirect
Shares
−211K
Price / share
$0.06
Trade value
$11.65K
% of position
2.2%
11/14/2023
9.45M→9.24M
Common Shares, no par value
Indirect
Shares
−75K
Price / share
$0.06
Trade value
$4.13K
% of position
0.8%
11/15/2023
9.24M→9.17M
Common Shares, no par value
Indirect
Shares
−87K
Price / share
$0.07
Trade value
$6.09K
% of position
0.9%
12/18/2023
9.17M→9.08M
Common Shares, no par value
Indirect
Shares
−100K
Price / share
$0.08
Trade value
$8K
% of position
1.1%
12/20/2023
9.08M→8.98M
Total
Net shares
−473K
Net value
-$29.86K
| Security | Date | Type | Shares | Price / Share | Trade Value | % of Position | Held Before | Held After |
|---|---|---|---|---|---|---|---|---|
| Common Shares, no par value Indirect | 11/14/2023 | S · Sale | −211K | $0.06 | $11.65K | 2.2% | 9.45M | 9.24M |
| Common Shares, no par value Indirect | 11/15/2023 | S · Sale | −75K | $0.06 | $4.13K | 0.8% | 9.24M | 9.17M |
| Common Shares, no par value Indirect | 12/18/2023 | S · Sale | −87K | $0.07 | $6.09K | 0.9% | 9.17M | 9.08M |
| Common Shares, no par value Indirect | 12/20/2023 | S · Sale | −100K | $0.08 | $8K | 1.1% | 9.08M | 8.98M |
| Total | −473K | -$29.86K | ||||||
Derivative Transactions0
No derivative transactions reported