EVA

Enviva Inc. EVA

Trading inactive

Individual Beneficiary

Name of reporting person Citizenship or organization Sole voting power Shared voting power Sole dispositive power Shared dispositive power Amount beneficially owned Percent of class Accepted date
ARENA VII, LLC 7039657 0 7039657 0 7039657 9.01 % 16/12/2024
ARENA SHORT DURATION HIGH YIELD FUND, LP – SERIES D 7039657 0 7039657 0 7039657 9.01 % 16/12/2024
ARENA OPPORTUNITIES FUND, LP – SERIES 2 7039657 0 7039657 0 7039657 9.01 % 16/12/2024
ARENA SHORT DURATION HIGH YIELD FUND, LP – SERIES C 7039657 0 7039657 0 7039657 9.01 % 16/12/2024
ARENA SHORT DURATION HIGH YIELD FUND, LP – SERIES B 7039657 0 7039657 0 7039657 9.01 % 16/12/2024
ARENA SHORT DURATION HIGH YIELD FUND, LP – SERIES A 7039657 0 7039657 0 7039657 9.01 % 16/12/2024
ARENA CAPITAL ADVISORS, LLC – CA 7039657 0 7039657 0 7039657 9.01 % 16/12/2024
ARENA SHORT DURATION HIGH YIELD FUND, LP – SERIES H 7039657 0 7039657 0 7039657 9.01 % 16/12/2024
ARENA SHORT DURATION HIGH YIELD FUND, LP – SERIES E 7039657 0 7039657 0 7039657 9.01 % 16/12/2024
ARENA SHORT DURATION HIGH YIELD FUND, LP – SERIES F 7039657 0 7039657 0 7039657 9.01 % 16/12/2024
ARENA SHORT DURATION HIGH YIELD FUND, LP – SERIES G 7039657 0 7039657 0 7039657 9.01 % 16/12/2024
AIPCF VIII Credit Opportunity Holding LP Delaware 0 0 0 0 0 0 % 13/12/2024
A-ENV Funding GP, LLC Cayman Islands 0 32230491 0 32230491 32230491 43 % 13/12/2024
A-ENV Funding LP Cayman Islands 0 32230491 0 32230491 32230491 43 % 13/12/2024
AIPCF VIII (Cayman), L.P. Cayman Islands 0 32230491 0 32230491 32230491 43 % 13/12/2024
Ltd. Cayman Islands 0 32230491 0 32230491 32230491 43 % 13/12/2024
Lightship Capital III GP, LLC Delaware 0 0 0 0 0 0 % 13/12/2024
Lightship Capital III LP Delaware 0 0 0 0 0 0 % 13/12/2024
AIPCF VIII Global Corp Holding LP Cayman Islands 0 32230491 0 32230491 32230491 43 % 13/12/2024
Ares Management GP LLC Delaware 0 0 0 0 0 0 % 13/12/2024
Ares Multi-Credit Fund (IL), LP Delaware 0 0 0 0 0 0 % 13/12/2024
CION Ares Management LLC Delaware 0 0 0 0 0 0 % 13/12/2024
Ares Management Limited England and Wales 0 0 0 0 0 0 % 13/12/2024
Ares Private Account Management I, L. P. Delaware 0 0 0 0 0 0 % 13/12/2024
Ares Private Account Management I GP, LLC Delaware 0 0 0 0 0 0 % 13/12/2024
Ares Multi-Credit Fund LLC Delaware 0 0 0 0 0 0 % 13/12/2024
Ares Holdco LLC Delaware 0 0 0 0 0 0 % 13/12/2024
Ares Partners Holdco LLC Delaware 0 0 0 0 0 0 % 13/12/2024
Ares Multi-Asset Credit Strategies Fund LP Cayman Islands 0 0 0 0 0 0 % 13/12/2024
Ares Global Multi-Asset Credit Master Fund, L.P. Delaware 0 0 0 0 0 0 % 13/12/2024
CION Ares Diversified Credit Fund Delaware 0 0 0 0 0 0 % 13/12/2024
Ares Multi-Credit Fund Cayman Ltd. Cayman Islands 0 0 0 0 0 0 % 13/12/2024
Ares Enhanced Loan Investment Strategy Advisor IV, L.P. Delaware 0 0 0 0 0 0 % 13/12/2024
Ares Enhanced Loan Investment Strategy Advisor IV GP, LLC Delaware 0 0 0 0 0 0 % 13/12/2024
Ares Capital Management III LLC Delaware 0 0 0 0 0 0 % 13/12/2024
Ares Capital Management II LLC Delaware 0 0 0 0 0 0 % 13/12/2024
Ares Management LLC Delaware 0 0 0 0 0 0 % 13/12/2024
Ares Management Holdings L.P. Delaware 0 0 0 0 0 0 % 13/12/2024
Ares Management Corporation Delaware 0 0 0 0 0 0 % 13/12/2024
Ares Voting LLC Delaware 0 0 0 0 0 0 % 13/12/2024
95-1411037 Delaware 4507721 0 4507721 0 13 6.7 % 13/02/2023
Inclusive Capital Partners, L.P. Delaware 0 5713987 0 10 5713987 12.9 % 10/06/2021
Jeffrey W. Ubben United States 0 5713987 0 10 5713987 12.9 % 10/06/2021
Inclusive Capital Partners, L.P. Delaware 0 4834867 0 10 4834867 12.2 % 04/08/2020
Jeffrey W. Ubben United States 0 4834867 0 10 4834867 12.2 % 04/08/2020
VA Partners I, LLC 0 4834867 0 4834867 4834867 12.2 % 22/06/2020
ValueAct Holdings II, L.P. 0 4834867 0 4834867 4834867 12.2 % 22/06/2020
ValueAct Spring Master Fund, L.P. 0 4834867 0 4834867 4834867 12.2 % 22/06/2020
ValueAct Capital Management, LLC 0 4834867 0 4834867 4834867 12.2 % 22/06/2020
ValueAct Holdings, L.P. 0 4834867 0 4834867 4834867 12.2 % 22/06/2020
ValueAct Holdings GP, LLC 0 4834867 0 4834867 4834867 12.2 % 22/06/2020
ValueAct Capital Management, L.P. 0 4834867 0 4834867 4834867 12.2 % 22/06/2020
ValueAct Spring Master Fund, L.P. 0 2527175 0 2527175 2527175 7.5 % 05/06/2020
ValueAct Holdings GP, LLC 0 2527175 0 2527175 2527175 7.5 % 05/06/2020
ValueAct Capital Management, LLC 0 2527175 0 2527175 2527175 7.5 % 05/06/2020
ValueAct Holdings II, L.P. 0 2527175 0 2527175 2527175 7.5 % 05/06/2020
ValueAct Capital Management, L.P. 0 2527175 0 2527175 2527175 7.5 % 05/06/2020
VA Partners I, LLC 0 2527175 0 2527175 2527175 7.5 % 05/06/2020
ValueAct Holdings, L.P. 0 2527175 0 2527175 2527175 7.5 % 05/06/2020
ValueAct Capital Management, L.P. Delaware 0 2104261 0 2104261 2104261 6.3 % 14/02/2020
ValueAct Holdings II, L.P. Delaware 0 2104261 0 2104261 2104261 6.3 % 14/02/2020
ValueAct Holdings GP, LLC Delaware 0 2104261 0 2104261 2104261 6.3 % 14/02/2020
ValueAct Capital Management, LLC Delaware 0 2104261 0 2104261 2104261 6.3 % 14/02/2020
HALCYON ASSET MANAGEMENT LLC Canada 0 0 0 0 822500 5.5 % 12/02/2020
VIS VIRES GROUP, INC. Canada 0 0 0 0 73402439 9.99 % 23/02/2017
Clearbridge Investments, LLC01-0846058 Delaware 1043050 0 1043050 0 1043050 8.12 % 16/02/2016
FS Global Credit Opportunities Fund Delaware 0 703610 0 0 703610 5.5 % 12/02/2016
David J. Adelman United States 0 703610 0 0 703610 5.5 % 12/02/2016
Michael C. Forman United States 0 703610 0 0 703610 5.5 % 12/02/2016
FS Global Advisor, LLC Delaware 0 703610 0 0 703610 5.5 % 12/02/2016
Investment Strategies, LLC, "Goldman Sachs Asset Management") Delaware 0 1380875 0 1380875 1380875 11.6 % 15/06/2015

Senat trading

Bureau Date de la transaction Date de réception Type Amount Commentaire

Senat Divulgation

Représentant Date de la transaction Date de divulgation Type Amount District