HERIAN NUBAR made both purchases and sales at BLUE STAR FOODS CORP.
Purchased 122.17K shares and sold 99.7% of their position (39.62K shares) — review individual transaction dates and prices for directional context.
Common stock
Shares
+200.00
Price / share
$4.39
Trade value
$878.24
% of position
Common stock
Shares
+116.00
Price / share
$4.40
Trade value
$510.40
% of position
Common stock
Shares
+1K
Price / share
$3.35
Trade value
$3.35K
% of position
Common stock
Shares
+1K
Price / share
$3.06
Trade value
$3.06K
% of position
Common stock
Shares
+2K
Price / share
$2.00
Trade value
$4K
% of position
Common stock
Shares
+2K
Price / share
$2.15
Trade value
$4.30K
% of position
Common stock
Shares
+2.11K
Price / share
$2.10
Trade value
$4.43K
% of position
Common stock
Shares
+1K
Price / share
$2.00
Trade value
$2K
% of position
Common stock
Shares
+10K
Price / share
$1.82
Trade value
$18.19K
% of position
Common stock
Shares
+10K
Price / share
$1.69
Trade value
$16.92K
% of position
Common stock
Shares
+7.35K
Price / share
$1.75
Trade value
$12.86K
% of position
Common stock
Shares
+2.65K
Price / share
$1.75
Trade value
$4.64K
% of position
Common stock
Shares
−300.00
Price / share
$5.64
Trade value
$1.69K
% of position
Common stock
Shares
−5.99K
Price / share
$5.63
Trade value
$33.71K
% of position
Common stock
Shares
−1.32K
Price / share
$5.63
Trade value
$7.45K
% of position
Common stock
Shares
−32K
Price / share
$5.24
Trade value
$167.60K
% of position
Common stock
Shares
+10K
Price / share
$2.25
Trade value
$22.50K
% of position
Common stock
Shares
+10K
Price / share
$2.29
Trade value
$22.90K
% of position
Common stock
Shares
+4.29K
Price / share
$2.10
Trade value
$9K
% of position
Common stock
Shares
+713.00
Price / share
$2.10
Trade value
$1.50K
% of position
Common stock
Shares
+10K
Price / share
$2.00
Trade value
$20K
% of position
Common stock
Shares
+2.70K
Price / share
$1.99
Trade value
$5.38K
% of position
Common stock
Shares
+1K
Price / share
$1.90
Trade value
$1.90K
% of position
Common stock
Shares
+7.30K
Price / share
$2.00
Trade value
$14.60K
% of position
Common stock
Shares
+10K
Price / share
$1.99
Trade value
$19.88K
% of position
Common stock
Shares
+3K
Price / share
$1.90
Trade value
$5.70K
% of position
Common stock
Shares
+3.27K
Price / share
$1.75
Trade value
$5.73K
% of position
Common stock
Shares
+10K
Price / share
$1.75
Trade value
$17.50K
% of position
Common stock
Shares
+10K
Price / share
$1.75
Trade value
$17.50K
% of position
Common stock
Shares
+464.00
Price / share
$1.76
Trade value
$816.64
% of position
Net shares
+82.55K
Net value
$29.59K
| Security | Date | Type | Shares | Price / Share | Trade Value | % of Position | Held Before | Held After |
|---|---|---|---|---|---|---|---|---|
| Common stock Direct | 11/5/2021 | P · Purchase | +200.00 | $4.39 | $878.24 | 1.3% | 14.85K | 15.05K |
| Common stock Direct | 11/5/2021 | P · Purchase | +116.00 | $4.40 | $510.40 | 0.8% | 15.14K | 15.25K |
| Common stock Direct | 11/10/2021 | P · Purchase | +1K | $3.35 | $3.35K | 7.0% | 14.37K | 15.37K |
| Common stock Direct | 11/19/2021 | P · Purchase | +1K | $3.06 | $3.06K | 6.5% | 15.37K | 16.37K |
| Common stock Direct | 12/20/2021 | P · Purchase | +2K | $2.00 | $4K | 13.0% | 15.37K | 17.37K |
| Common stock Direct | 12/21/2021 | P · Purchase | +2K | $2.15 | $4.30K | 11.5% | 17.37K | 19.37K |
| Common stock Indirect | 12/21/2021 | P · Purchase | +2.11K | $2.10 | $4.43K | New position | 0.00 | 2.11K |
| Common stock Direct | 12/22/2021 | P · Purchase | +1K | $2.00 | $2K | 4.9% | 20.37K | 21.37K |
| Common stock Indirect | 12/29/2021 | P · Purchase | +10K | $1.82 | $18.19K | 473.5% | 2.11K | 12.11K |
| Common stock Indirect | 12/29/2021 | P · Purchase | +10K | $1.69 | $16.92K | 82.6% | 12.11K | 22.11K |
| Common stock Indirect | 1/7/2022 | P · Purchase | +7.35K | $1.75 | $12.86K | 33.2% | 22.11K | 29.46K |
| Common stock Indirect | 1/10/2022 | P · Purchase | +2.65K | $1.75 | $4.64K | 9.0% | 29.46K | 32.11K |
| Common stock Direct | 1/21/2022 | S · Sale | −300.00 | $5.64 | $1.69K | 1.3% | 22.67K | 22.37K |
| Common stock Direct | 1/21/2022 | S · Sale | −5.99K | $5.63 | $33.71K | 26.8% | 22.37K | 16.38K |
| Common stock Direct | 1/21/2022 | S · Sale | −1.32K | $5.63 | $7.45K | 8.1% | 16.38K | 15.05K |
| Common stock Indirect | 1/21/2022 | S · Sale | −32K | $5.24 | $167.60K | 99.7% | 32.11K | 112.00 |
| Common stock Indirect | 2/1/2022 | P · Purchase | +10K | $2.25 | $22.50K | 8928.6% | 112.00 | 10.11K |
| Common stock Direct | 2/2/2022 | P · Purchase | +10K | $2.29 | $22.90K | 156.8% | 6.38K | 16.38K |
| Common stock Direct | 2/7/2022 | P · Purchase | +4.29K | $2.10 | $9K | 19.4% | 22.09K | 26.38K |
| Common stock Direct | 2/8/2022 | P · Purchase | +713.00 | $2.10 | $1.50K | 2.4% | 29.95K | 30.66K |
| Common stock Indirect | 2/8/2022 | P · Purchase | +10K | $2.00 | $20K | 98.9% | 10.11K | 20.11K |
| Common stock Indirect | 2/8/2022 | P · Purchase | +2.70K | $1.99 | $5.38K | 13.4% | 20.11K | 22.81K |
| Common stock Direct | 2/9/2022 | P · Purchase | +1K | $1.90 | $1.90K | 3.3% | 30.38K | 31.38K |
| Common stock Indirect | 2/9/2022 | P · Purchase | +7.30K | $2.00 | $14.60K | 32.0% | 22.81K | 30.11K |
| Common stock Indirect | 2/9/2022 | P · Purchase | +10K | $1.99 | $19.88K | 33.2% | 30.11K | 40.11K |
| Common stock Direct | 2/17/2022 | P · Purchase | +3K | $1.90 | $5.70K | 10.2% | 29.38K | 32.38K |
| Common stock Indirect | 2/28/2022 | P · Purchase | +3.27K | $1.75 | $5.73K | 8.2% | 40.11K | 43.39K |
| Common stock Indirect | 2/28/2022 | P · Purchase | +10K | $1.75 | $17.50K | 23.0% | 43.39K | 53.39K |
| Common stock Indirect | 2/28/2022 | P · Purchase | +10K | $1.75 | $17.50K | 18.7% | 53.39K | 63.39K |
| Common stock Direct | 3/1/2022 | P · Purchase | +464.00 | $1.76 | $816.64 | 1.4% | 32.38K | 32.84K |
| Total | +82.55K | $29.59K | ||||||