№ files_lp_4_process_1_27729
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SEC filing detailing beneficial ownership of Callaway Golf Company common stock by specified investment advisers and control persons, including share counts, voting powers, and associated fund participation.
Year:
2009
Jurisdiction:
United States
Document Type:
SEC Filing
Issuer:
Callaway Golf Company
Reporting Persons:
Angelo, Gordon & Co., L.P.; John M. Angelo; Michael L. Gordon
Security Type:
Common Stock, $0.01 par value
CUSIP:
131193104
Filing Date:
December 31, 2009
Ownership Percentage:
5.05%
Address of Issuer:
2180 Rutherford Road, Carlsbad, CA 92008
Address of Reporting Persons:
245 Park Avenue, New York, NY 10167
Citizenship of Reporting Persons:
Delaware (Angelo, Gordon & Co., L.P.), United States (John M. Angelo, Michael L. Gordon)
Roles of Reporting Persons:
Investment Adviser, Control Persons
Aggregate Shares Beneficially Owned:
3,429,788
Related Fund:
Private investment fund advised by Angelo, Gordon & Co.
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Year:
2026
Region / City:
Callaway County, Fulton, MO
Topic:
Government meetings
Document Type:
Agenda
Organization:
Callaway County Commission
Target Audience:
Residents of Callaway County, Public officials
Period of validity:
February 09, 2026
Approval Date:
N/A
Date of changes:
N/A
Year:
2025
Jurisdiction:
United States
Filing Entity:
Royce & Associates LP
Issuer:
Viant Technology Inc
Address of Issuer:
2722 Michelson Drive Suite 100, Irvine, CA, 92612
CUSIP:
92557A101
Class of Securities:
Class A Common Stock
Event Date:
12/31/2025
Percentage of Class Owned:
5.47%
Sole Voting Power:
912,043
Shared Voting Power:
0
Sole Dispositive Power:
912,043
Shared Dispositive Power:
0
Type of Reporting Person:
IA
Principal Business Address of Filer:
One Madison Avenue, New York, NY 10010
Citizenship/Place of Organization:
New York
Signature Date:
01/21/2026
Context:
SEC Schedule 13G filing reporting beneficial ownership and voting authority of Class A common stock by an investment adviser.
Year:
2025
Date of Event Which Requires Filing of this Statement:
October 31, 2025
Amendment Number:
3
Issuing Authority:
Securities and Exchange Commission
Type of Document:
Schedule 13G filing
Governing Law:
Securities Exchange Act of 1934
Issuer:
Praxis Precision Medicines, Inc.
Issuer Address:
99 High Street, 30th Floor, Boston, MA 02110
Title of Class of Securities:
Common Stock, par value $0.0001 per share
CUSIP Number:
74006W207
Outstanding Shares Referenced:
24,693,005
Reporting Persons:
Adage Capital Management, L.P.; Robert Atchinson; Phillip Gross
Place of Organization:
Delaware
Citizenship:
United States
Business Address of Reporting Persons:
200 Clarendon Street, 52nd Floor, Boston, Massachusetts 02116
Aggregate Amount Beneficially Owned:
1,305,175 shares
Percent of Class Represented:
5.29%
Filing Category:
Rule 13d-1
SEC File References:
Prospectus filed pursuant to Rule 424(b)(5) on October 20, 2025; Current Report on Form 8-K filed October 20, 2025
Year:
2025
Region / City:
Washington, D.C.
Topic:
Securities filing
Document Type:
Regulatory filing
Issuer:
Sotera Health Co
Author:
BlackRock, Inc.
Target Audience:
Regulatory bodies, investors
Period of Action:
12/31/2025
Approval Date:
01/21/2026
Modification Date:
None
Year:
2025
Region / City:
Washington, D.C.
Topic:
Securities Filings
Document Type:
Regulatory Filing
Issuer:
SMITH (AO) CORP
Author:
FMR LLC, Abigail P. Johnson
Target Audience:
Regulatory Authorities, Financial Institutions
Period of Action:
12/31/2025
Date of Approval:
02/04/2026
Date of Changes:
02/04/2026
Issuer:
PLAINS GP HOLDINGS, L.P.
Title of Securities:
Common Stock
CUSIP Number:
72651A207
Date of Event:
12/31/2025
Filer:
Massachusetts Financial Services Company
Place of Filing:
Delaware
Number of Shares Beneficially Owned:
9,537,077
Voting Power:
Sole Voting Power: 9,516,370, Shared Voting Power: 0
Dispositive Power:
Sole Dispositive Power: 9,537,077, Shared Dispositive Power: 0
Percentage of Class:
4.8%
Filing Date:
01/28/2026
Nature of Filing:
Schedule 13G
Year:
2026
Issuer:
Bitfarms Ltd.
CUSIP:
09173B107
Security Type:
Common Shares
Event Date:
02/05/2026
Reporting Persons:
Citadel Securities GP LLC, Citadel Securities LLC, Citadel Securities Group LP, Citadel Advisors LLC, Citadel Advisors Holdings LP, Citadel GP LLC, Kenneth Griffin
Citizenship / Place of Organization:
Delaware, United States, Ireland
Aggregate Shares Reported:
23,740,167 to 23,739,533 depending on filer
Percent of Class:
0.0% to 112.9% depending on filer
Type of Reporting Person:
HC, OO, BD, OOS, PNS, IA, INS
Principal Executive Office of Issuer:
110 Yonge Street, Suite 1601, Toronto, Ontario, Canada, M5C 1T4
Principal Business Office of Reporting Persons:
830 Brickell Plaza, Miami, Florida 33131
Filing Status:
Joint Filing
Date Filed with SEC:
February 5, 2026
Year:
2025
Issuer:
Jefferson Capital, Inc.
CUSIP:
47248R103
Title of Securities:
Common Stock, $0.0001 par value per share
Reporting Persons:
JCF IV JCAP Holding L.P., JCF IV JCAP Holding GP LLC, JCF Associates IV L.P., JCF Associates IV Ltd., J. Christopher Flowers
Citizenship/Place of Organization:
Delaware, Cayman Islands, United States
Shares Beneficially Owned:
43,721,808
Percent of Class:
75.0%
Principal Business Address of Reporting Persons:
c/o J.C. Flowers & Co., 1301 Avenue of the Americas, 16th Floor, New York, New York 10019
Type of Document:
SEC Schedule 13G Filing
Filing Date:
November 14, 2025
Event Date:
September 30, 2025
Exhibits:
Joint Filing Agreement, dated November 14, 2025
Year:
2025
Region / City:
Washington, D.C., United States
Subject:
Securities ownership reporting
Document Type:
SEC filing
Issuing Authority:
Securities and Exchange Commission
Issuer:
ThredUp Inc.
Filing Entity:
Capital World Investors
CUSIP Number:
88556E102
Title of Securities:
Common Stock
Beneficial Ownership:
8,707,600 shares (8.4% of class)
Reporting Date:
12/31/2025
Signature Date:
02/10/2026
Authorized Signatory:
Timothy J. Moon, Vice President and Senior Counsel, Capital Research and Management Company
Year:
2025
Country:
United States
City:
Washington, D.C.
Issuer:
Upstart Holdings, Inc.
Issuer Address:
2950 S. Delaware Street, Suite 410, San Mateo, CA 94403
Type of Document:
Schedule 13G beneficial ownership report
Regulatory Authority:
U.S. Securities and Exchange Commission
Legal Basis:
Securities Exchange Act of 1934
Security Type:
Common Stock, $0.0001 par value per share
CUSIP:
91680M107
Date of Event:
December 31, 2025
Reporting Persons:
G1 Execution Services, LLC; SIG Brokerage, LP; Susquehanna Portfolio Strategies, LLC; Susquehanna Securities, LLC
Organizational Jurisdiction:
Illinois; Delaware
Aggregate Beneficial Ownership:
4,554,175 shares
Ownership Percentage:
4.6% of class
Filing Category:
Rule 13d-1(b), Rule 13d-1(c), Rule 13d-1(d)
Affiliated Entities:
Susquehanna Portfolio Strategies, LLC; Susquehanna Securities, LLC; SIG Brokerage, LP; G1 Execution Services, LLC
Principal Business Offices:
Chicago, Illinois; Bala Cynwyd, Pennsylvania
Year:
2025
Region / City:
United States / Washington, D.C.
Theme:
Securities, Investment Management
Document Type:
Financial Filing
Organization / Institution:
Securities and Exchange Commission
Author:
AQR Capital Management, LLC, AQR Capital Management Holdings, LLC, AQR Arbitrage, LLC
Target Audience:
Investors, Regulatory Authorities
Effective Period:
12/31/2025
Approval Date:
02/12/2026
Modification Date:
N/A
Year:
2018
Region / City:
Hollywood, FL
Subject:
Securities Filing
Document Type:
SEC Filing
Organization / Institution:
Securities and Exchange Commission
Author:
BlackRock, Inc.
Target Audience:
Investors, SEC Filers
Effective Period:
December 31, 2018
Approval Date:
February 8, 2019
Date of Changes:
February 8, 2019
Year:
2026
Jurisdiction:
United States, Delaware
Issuer:
GigCapital9 Corp.
CUSIP:
G3865B106
Type of Filing:
Schedule 13G
Reporting Persons:
Harraden Circle Investments, LLC; Harraden Circle Investors GP, LP; Harraden Circle Investors GP, LLC; Harraden Circle Investors, LP; Harraden Circle Special Opportunities, LP; Harraden Circle Strategic Investments, LP; Harraden Circle Concentrated, LP; Frederick V. Fortmiller, Jr.
Shares Reported:
2,568,800 to 62,568,800 depending on reporting person
Percent of Class:
0.65% to 19.99%
Role:
Investment managers and affiliated entities of Harraden Circle
Filing Date:
2026-01-27
Address of Issuer:
1731 Embarcadero Rd., Suite 200, Palo Alto, CA, 94303
Document Type:
Regulatory filing with SEC under Securities Exchange Act of 1934
Year:
2009
Region / City:
Queensland
Topic:
Criminal History Disclosure, Guide, Hearing, and Assistance Dogs
Document Type:
Legal Guide
Organization / Institution:
Guide, Hearing and Assistance Dogs Team
Author:
Not specified
Target Audience:
People applying for approval as guide, hearing, or assistance dog trainers or employee trainers
Period of Validity:
Not specified
Approval Date:
Not specified
Amendment Date:
Not specified
Year:
2025
Region / city:
Great Britain
Subject:
Radiation Emergency Preparedness in Transport
Document Type:
Technical Inspection Guide
Authority:
ONR
Author:
Nuclear Safety Inspector, Radiological Protection
Target Audience:
ONR Inspectors
Period of Validity:
Until June 2030
Approval Date:
June 2025
Scheduled Review Date:
June 2030
Document Reference:
NS-INSP-GD-066
Record Reference:
ONRHH-822789359-20707
Revision Commentary:
Major update: Change in structure – Document now divided into four inspection "thematic areas". Clarified expectations around the method of testing of emergency plans and the frequency of testing. Removal of references to notifiable events as notification to ONR is dealt with in other ONR guidance.
Note:
Context
Year:
2008
Region / City:
Missouri State
Topic:
Payroll system change
Document Type:
Announcement
Organization / Institution:
Missouri State
Author:
Not specified
Target Audience:
Missouri State employees
Effective Period:
December 15, 2008 - Ongoing
Approval Date:
December 31, 2008
Amendment Date:
Not specified
Jurisdiction:
New Zealand
Legal framework:
Anti-Money Laundering and Countering Financing of Terrorism Act 2009
Subject matter:
Money laundering and terrorist financing risk assessment
Document type:
Compliance risk assessment
Sector:
Legal profession
Intended users:
Law firms and legal practitioners
Scope of application:
All partners, employees, and business activities of a law firm
Regulatory context:
Reporting entity obligations under AML/CFT legislation
Relevant authorities:
Department of Internal Affairs; New Zealand Law Society
Risk factors covered:
Business size and complexity; services offered; service delivery methods; client types; geographic exposure; transaction characteristics
Compliance roles referenced:
Money Laundering Compliance Officer; Money Laundering Reporting Officer
Geographic focus:
Domestic and cross-border transactions involving New Zealand
Year:
2009
Region / City:
United States
Topic:
Archival Management, System User Interface
Document Type:
Training Manual
Organization:
National Archives and Records Administration (NARA)
Author:
N/A
Target Audience:
NARA employees, HMS users
Effective Period:
N/A
Approval Date:
N/A
Modification Date:
N/A
Year:
2009
Region / City:
Queensland, Australia
Topic:
Right to Information
Document Type:
Memorandum
Agency / Organization:
[name of agency]
Author:
[Name of officer]
Target Audience:
RTI Officer, Business Unit Manager
Effective Period:
Not specified
Approval Date:
Not specified
Modification Date:
Not specified
Year:
2009
Original approval date:
April 6, 2005
Modification date:
June 16, 2009
Document type:
Interface Control Document
System source:
Composite Health Care System (CHCS)
Receiving system:
Military Health System Data Repository (MDR)
Managing organization:
Defense Health Services Systems Program Office
Contributing organization:
Defense Health Information Management Systems Program Office
Subject area:
Health information systems data exchange
Data type:
Appointment data
Operational scope:
Medical Treatment Facilities
Configuration control authority:
DHSS Program Office