Investor Soroban Capital Partners LP
13D/G Filings

This page shows a list of all the recent 13D/G filings made by Soroban Capital Partners LP . Schedule 13D is commonly referred to as a “beneficial ownership report.” The term "beneficial owner" is defined under SEC rules. It includes any person who directly or indirectly shares voting power or investment power (the power to sell the security).

When a person or group of persons acquires beneficial ownership of more than 5% of a voting class of a company’s equity securities, they are required to file a Schedule 13D within ten days after the purchase. Click the link icon to see the full transaction history.

Date Form Target Prev
Shares
Current
Shares
Change
(Percent)
Ownership
(Percent)
Change
(Percent)
2022-02-14 13G/A GNAC / Group Nine Acquisition Corp - Class A 1,076,759
2022-02-14 13G/A CLAA / Colonnade Acquisition Corp II - Class A 0 0
2022-02-14 13G/A ALIT / Alight, Inc. 0 0
2022-02-14 13G/A BKSY / BlackSky Technology Inc. 1,724,134 0
2022-02-14 13G/A NSTB / Northern Star Investment Corp. II 3,960,000 0
2022-02-14 13G/A SPIR / Spire Global, Inc. 2,131,322 0
2022-02-14 13G/A G01202103 / AGILE GROWTH CORP 0
2022-02-14 13G/A DOMA / Doma Holdings Inc. 0 0
2022-02-14 13G/A FUSE / Fusion Acquisition Corp - Class A 3,465,000 0
2022-02-14 13G/A TIOAU / Tio Tech A - Units (1 Ord Share Class A & 1/3 War) 1,600,000 1,600,000
2021-09-02 13G/A ATUS / Altice USA, Inc. 31,000,000 0
2021-04-19 13G TIOAU / Tio Tech A - Units (1 Ord Share Class A & 1/3 War) 1,600,000
2021-04-05 13G BKSY / BlackSky Technology Inc. 1,724,134
2021-03-26 13G FUSE / Fusion Acquisition Corp - Class A 3,465,000
2021-03-22 13G CLAA.U / Colonnade Acquisition Corp. II Units, each consisting of one Class A ordinary share and one-fifth of 1,749,015
2021-03-22 13G SPIR / Spire Global, Inc. 2,131,322
2021-03-22 13G US14064F1003 / Capitol Investment Corp. V 2,728,968
2021-03-22 13G US34431F1049 / Foley Trasimene Acquisition Corp 5,565,126
2021-03-22 13G NSTB / Northern Star Investment Corp. II 3,960,000
2021-03-22 13G AGGRU / Agile Growth Corp - Units (1 Ord Share Class A & 1/3 War) 2,000,000
2021-03-15 13G LHAA / Lerer Hippeau Acquisition Corp - Class A 1,500,000
2021-02-16 13G/A ATUS / Altice USA, Inc. 31,000,000 31,000,000
2021-02-16 13G/A PSTH / Pershing Square Tontine Holdings Ltd - Class A 5,063,789 5,063,789
2021-02-16 13G/A ATUS / Altice USA, Inc. 26,000,000 31,000,000
2021-02-16 13G/A PSTH / Pershing Square Tontine Holdings Ltd - Class A 5,063,789 5,063,789
2021-01-25 13G 39947R203 / GROUP NINE 1,200,000
2019-11-18 13G ATUS / Altice USA, Inc. 26,000,000
2019-02-14 13G/A MHK / Mohawk Industries, Inc. 2,904,200 2,904,200
2019-02-14 13G/A MGM / MGM Resorts International 35,304,047 0
2019-02-14 13G/A STZ / Constellation Brands, Inc. 9,901,275 0
2019-02-13 13G/A MHK / Mohawk Industries, Inc. 3,936,409 2,904,200
2018-08-06 13G MHK / Mohawk Industries, Inc. 3,936,409
2018-02-14 13G/A ADSK / Autodesk, Inc. 11,241,366 0
2018-02-14 13G/A MAR / Marriott International, Inc. 20,679,093 10,823,421
2018-02-14 13G/A MGM / MGM Resorts International 30,224,308 35,304,047
2018-02-14 13G/A 74005P104 / Praxair, Inc. 17,619,237 11,599,997
2018-02-14 13G/A STZ / Constellation Brands, Inc. 11,141,406 9,901,275
2017-06-22 13G MGM / MGM Resorts International 30,224,308
2017-05-01 13G MAR / Marriott International, Inc. 20,679,093
2017-04-27 13G 74005P104 / Praxair, Inc. 17,619,237
2017-02-27 13G STZ / Constellation Brands, Inc. 11,141,406
2017-02-14 13G/A YUM / Yum! Brands, Inc. 20,931,736 3,694,400
2017-02-14 13G/A ADSK / Autodesk, Inc. 11,241,366 11,241,366
2017-02-13 13G/A ADSK / Autodesk, Inc. 17,835,141 11,241,366
2016-10-03 13G/A ADSK / Autodesk, Inc. 12,800,490 17,835,141
2016-06-06 13G YUM / Yum! Brands, Inc. 20,931,736
2016-02-16 13G/A DG / Dollar General Corporation 2,000,000
2016-02-16 13G/A ADSK / Autodesk, Inc. 12,800,490
2016-02-16 13G/A AXLL / Axiall Corporation 0
2016-02-16 13G/A SBGI / Sinclair, Inc. 0
2016-02-16 13G TWC / Spectrum Management Holding Company LLC 14,207,334 8,412,734
2016-01-29 13D/A CRC / California Resources Corporation 33,453,683 3,946,966
2015-07-23 13G TWC / Spectrum Management Holding Company LLC 14,207,334
2015-02-17 13G/A CCEP / Coca-Cola Europacific Partners PLC 5,300,000
2015-02-17 13G/A ADSK / Autodesk, Inc. 16,167,814
2015-02-17 13G/A DG / Dollar General Corporation 18,330,295
2015-02-17 13G/A LNG / Cheniere Energy, Inc. 6,267,685
2015-02-02 13D CRC / California Resources Corporation 38,469,999
2014-10-14 13G AXLL / Axiall Corporation 7,000,000
2014-04-21 13G SBGI / Sinclair, Inc. 3,805,830
2014-03-10 13G ADSK / Autodesk, Inc. 14,832,625
2014-02-14 13G/A CCEP / Coca-Cola Europacific Partners PLC 15,592,819
2014-02-14 13G/A HUN / Huntsman Corporation 11,450,000
2014-02-14 13G/A SEMG / EA Series Trust - Suncoast Select Growth ETF 1,772,331
2014-02-14 13G/A PAGP / Plains GP Holdings, L.P. - Limited Partnership 0
2014-02-14 13G/A DG / Dollar General Corporation 20,934,124
2014-02-14 13G/A LNG / Cheniere Energy, Inc. 14,851,810
2013-10-28 13G CCEP / Coca-Cola Europacific Partners PLC 16,417,134
2013-07-22 13G DG / Dollar General Corporation 21,961,442
2013-04-15 13G HUN / Huntsman Corporation 13,441,160
2013-03-13 13G WMB / The Williams Companies, Inc. 67,317,856
2013-03-13 13G LNG / Cheniere Energy, Inc. 23,075,606
2013-02-14 13G/A WMB / The Williams Companies, Inc. 16,295,974
2013-02-14 13G/A SEMG / EA Series Trust - Suncoast Select Growth ETF 2,749,969
2012-02-14 13G/A 0
2012-02-14 13G/A SEMG / EA Series Trust - Suncoast Select Growth ETF 3,250,000