Activist Investor 13D, 13G Filings


This table shows recent activist investor (Schedule 13D) and passive investor (13G) filings made in this industry. Any investor or hedge fund that makes an investment with the intention of influencing management is considered an activist investor and must file a 13D.

DateFormInvestorTargetSharesOwnership
(Percent)
Ownership Change
(Percent)
2017‑01‑23 SC 13G/A AMERICAN FINANCIAL GROUP INC HCHC / HC2 Holdings 3,018,785 6.9 0.38
2017‑01‑23 SC 13G/A AMERICAN FINANCIAL GROUP INC PDVW / pdvWireless 1,090,969 7.6 -1.94
2017‑01‑23 SC 13G/A BlackRock Inc. CTL / CenturyLink 41,643,280 7.6
2017‑01‑19 SC 13G/A BlackRock Inc. T / AT & T 358,350,283 5.8
2017‑01‑19 SC 13G/A BlackRock Inc. ATNI / Atlantic Tele-Network 1,484,135 9.2
2017‑01‑19 SC 13G/A BlackRock Inc. BVWN / Broadview Networks Holdings 883,150 8.8 0.00
2017‑01‑18 SC 13D Phipps David TRKK / Orbital Tracking 12,339,840 17.55
2017‑01‑17 SC 13G/A BlackRock Inc. SPOK / Spok Holdings 3,482,138 17.0 10.01
2017‑01‑17 SC 13G/A BlackRock Inc. TDJ / Telephone and Data Systems, 7.00% Senior Notes due 3 16,073,333 15.6
2017‑01‑17 SC 13G/A BlackRock Inc. NIHD / NII Holdings 11,585,299 11.5 13.79
2017‑01‑12 SC 13G/A BlackRock Inc. IQNT / Inteliquent 3,956,823 11.5 -4.79
2017‑01‑12 SC 13G/A BlackRock Inc. LMOS / Lumos Networks 2,734,345 11.6 16.23
2017‑01‑12 SC 13G/A BlackRock Inc. GNCMB / General Communication 4,221,965 12.9 6.35
2017‑01‑12 SC 13G/A BlackRock Inc. EGHT / 8x8 9,962,577 11.0
2017‑01‑12 SC 13G/A BlackRock Inc. CBB / Cincinnati Bell 5,809,178 13.8 -76.53
2017‑01‑12 SC 13G/A BlackRock Inc. CNSL / Consolidated Communications Holdings 6,446,364 12.7 13.64
2017‑01‑10 SC 13G/A Capital Research Global Investors CTL / CenturyLink 19,464,810 3.5
2017‑01‑09 SC 13G/A BlackRock Inc. WIN / Windstream Holdings 9,830,100 10.2 29,307.66
2017‑01‑06 SC 13G/A CITY NATIONAL ROCHDALE, LLC CNSL / Consolidated Communications Holdings 5,122,069 10.11
2016‑12‑12 SC 13G/A VANGUARD GROUP INC WIN / Windstream Holdings 15,301,032 15.91 57.24
2016‑12‑05 SC 13G MAGLAN CAPITAL LP FRP / Fairpoint Communications 2,062,812 7.6 0.00
2016‑11‑17 SC 13D/A FALCONE PHILIP HCHC / HC2 Holdings 5,901,703 12.7 0.89
2016‑11‑10 SC 13D CENTURYLINK, INC LVLT / Level 3 Communications 65,031,667 18.1
2016‑11‑10 SC 13D/A FALCONE PHILIP HCHC / HC2 Holdings 5,849,503 12.6 5.57
2016‑11‑10 SC 13G Mudrick Capital Management, L.P. FRP / Fairpoint Communications 1,765,507 6.5
2016‑11‑01 SC 13D/A SINGAPORE TECHNOLOGIES TELEMEDIA PTE LTD LVLT / Level 3 Communications 65,031,667 18.1 0.00
2016‑10‑31 SC 13D/A Benefit Street Partners LLC HCHC / HC2 Holdings 3,781,237 9.8
2016‑10‑21 SC 13G Frigate Ventures LP INVT / Inventergy Global 750,000 6.9
2016‑10‑17 SC 13G Empery Asset Management, LP INVT / Inventergy Global 666,002 6.09
2016‑10‑17 SC 13D/A Hudson Bay Credit Management LLC HCHC / HC2 Holdings 594,521 1.4 -84.04
2016‑10‑14 SC 13G INTRACOASTAL CAPITAL, LLC INVT / Inventergy Global 571,330 4.99
2016‑10‑13 SC 13D Searchlight ALX LP GNCMB / General Communication 1,727,661 5.1
2016‑10‑11 SC 13D/A Hudson Bay Credit Management LLC HCHC / HC2 Holdings 3,725,838 8.9 20.67
2016‑10‑11 SC 13G/A Capital World Investors NIHD / NII Holdings 27,994,232 27.7 -17.31
2016‑10‑11 SC 13G VANGUARD GROUP INC NIHD / NII Holdings 10,388,515 10.3 81.95
2016‑09‑20 SC 13D/A GAMCO INVESTORS, INC. ET AL NULM / New Ulm Telecom 169,448 3.3
2016‑09‑09 SC 13G/A COLUMBIA WANGER ASSET MANAGEMENT LLC LMOS / Lumos Networks 10 -100.00
2016‑09‑09 SC 13G/A COLUMBIA WANGER ASSET MANAGEMENT LLC GTT / GTT Communications 10 0.00
2016‑08‑31 SC 13D/A FALCONE PHILIP HCHC / HC2 Holdings 5,540,892 13.2 11.67
2016‑08‑31 SC 13D/A Kanen Wealth Management LLC CALL / magicJack VocalTec 6.3 0.00
2016‑08‑26 SC 13D/A Kanen Wealth Management LLC CALL / magicJack VocalTec 6.3 19.77
2016‑08‑24 SC 13G SINGER KAREN STRP / Straight Path Communications 570,532 5.0
2016‑08‑19 SC 13D Kanen Wealth Management LLC CALL / magicJack VocalTec 5.26
2016‑08‑19 SC 13D/A MAGLAN CAPITAL LP FRP / Fairpoint Communications 2,062,812 7.6 0.00
2016‑08‑16 SC 13G Glasgow Charles W. TALK / iTalk 170,000,000 9.07
2016‑08‑10 SC 13G/A VANGUARD GROUP INC FRP / Fairpoint Communications 2,751,454 10.17 14.87
2016‑08‑10 SC 13G/A VANGUARD GROUP INC CNSL / Consolidated Communications Holdings 5,212,683 10.29 9.65
2016‑08‑08 SC 13D/A MAGLAN CAPITAL LP FRP / Fairpoint Communications 2,062,812 7.6 0.00
2016‑08‑02 SC 13G/A SOCHET IRA OTEL / Otelco 354,133 10.8 47.05
2016‑08‑02 SC 13G SAMBERG ARTHUR J STRP / Straight Path Communications 691,900 6.075