Hennes & Mauritz AB, H & M

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CUSIP

W41422101
SEDOL

5687431
CIK

N/A

hm.com
LEI: 529900O5RR7R39FRDM42
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Hennes & Mauritz AB, H & M
GICS: 25504010 · Sector: Consumer Discretionary · Sub-Sector: Retail
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PROFILER
NAME
Hennes & Mauritz AB, H & M
ISIN
SE0000106270
TICKER
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MIC
XSTO
REUTERS
HMB.ST
BLOOMBERG
HMB SS
FOR INVESTORS
FOR TRADERS
Securities Trading Warrants
In this section you will find transaction histories for short sales.
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NALIZER
Short sellers are obliged to report when building up positions from 0.50% and when reducing positions up to 0.50%. If there are open positions >= 0.50% in the reporting registers, these are shown in the following overview.
Twenty-one Short sale positions >= 0.50% are currently registered as reportable-relevant
Date Position Holder Position # Action
02.04.2025 Marshall Wace LLP 0,80% 129
27.03.2025 Ilex Capital Partners (UK) LLP 0,55% 11
27.03.2025 BlackRock Investment Management (UK) Limited 0,65% 14
23.05.2023 Citadel Advisors Europe Limited 0,50% 29
31.08.2022 Citadel Advisors LLC 0,50% 2
24.02.2022 Tiger Global Management LLC 0,50% 9
24.05.2021 Viking Global Investors LP 0,50% 24
09.11.2020 Melvin Capital Management LP 0,50% 6
10.08.2020 Maverick Capital Ltd 0,50% 9
06.05.2020 Citadel Europe LLP 0,50% 10
09.12.2019 THIRD POINT LLC 0,50% 10
13.11.2019 MAVERICK CAPITAL, LTD 0,61% 4
09.09.2019 TIGER GLOBAL MANAGEMENT, LLC 1,02% 6
09.01.2019 MAVERICK CAPITAL, LTD. 0,50% 14
23.11.2018 MERIAN GLOBAL INVESTORS (UK) LIMITED 0,50% 3
06.11.2018 LONE PINE CAPITAL LLC 0,50% 4
04.10.2018 NUMERIC INVESTORS 0,50% 2
31.08.2018 AQR Capital Management, LLC 0,50% 43
08.08.2018 Capital Fund Management SA 0,50% 2
23.07.2018 Old Mutual Global Investors (UK) Limited 0,50% 3
16.05.2013 Lansdowne Partners Ltd 0,50% 2
The overview shows all positions and their last reported status. Please note that when reducing positions, falling below the 0.50% limit means that the mandatory reporting obligations no longer have to be applied. As a rule, it can be assumed that the positions have been completely reduced following a longer period of inactivity. Positions < 0.50% are therefore only of limited significance.
Date Position Holder Position # Action
02.04.2025 Marshall Wace LLP 0,80% 129
27.03.2025 Ilex Capital Partners (UK) LLP 0,55% 11
27.03.2025 BlackRock Investment Management (UK) Limited 0,65% 14
23.05.2023 Citadel Advisors Europe Limited 0,50% 29
31.08.2022 Citadel Advisors LLC 0,50% 2
24.02.2022 Tiger Global Management LLC 0,50% 9
24.05.2021 Viking Global Investors LP 0,50% 24
09.11.2020 Melvin Capital Management LP 0,50% 6
10.08.2020 Maverick Capital Ltd 0,50% 9
06.05.2020 Citadel Europe LLP 0,50% 10
09.12.2019 THIRD POINT LLC 0,50% 10
13.11.2019 MAVERICK CAPITAL, LTD 0,61% 4
09.09.2019 TIGER GLOBAL MANAGEMENT, LLC 1,02% 6
09.01.2019 MAVERICK CAPITAL, LTD. 0,50% 14
23.11.2018 MERIAN GLOBAL INVESTORS (UK) LIMITED 0,50% 3
06.11.2018 LONE PINE CAPITAL LLC 0,50% 4
04.10.2018 NUMERIC INVESTORS 0,50% 2
31.08.2018 AQR Capital Management, LLC 0,50% 43
08.08.2018 Capital Fund Management SA 0,50% 2
23.07.2018 Old Mutual Global Investors (UK) Limited 0,50% 3
16.05.2013 Lansdowne Partners Ltd 0,50% 2
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Information on product placements
The information provided in this area is compiled with care and prepared and processed in complex technical process steps. Quality assurance is an integral part of the methods and procedures used. A plausibility check is carried out to the extent that the source data allows. Before further use, especially in the course of any investment decisions, we recommend consulting at least one second independent source for validation.

 

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