
Frontier Acquisition Corp. FRON
Trading inactive
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 |
---|---|---|---|---|---|---|---|---|
RP SPAC Fund | Canada | 0 | 793994 | 0 | 793994 | 793994 | 3.4 % | 11/02/2022 |
RP Investment Advisors LP | Ontario, Canada | 0 | 1489723 | 0 | 1489723 | 1489723 | 6.3 % | 11/02/2022 |
RP Select Opportunities Master Fund Ltd. | Cayman Islands | 0 | 560412 | 0 | 560412 | 560412 | 2.4 % | 11/02/2022 |
RP Debt Opportunities Fund Ltd. | Cayman Islands | 0 | 102262 | 0 | 102262 | 102262 | 0.4 % | 11/02/2022 |
RP Alternative Global Bond Fund | Canada | 0 | 33055 | 0 | 33055 | 33055 | 0.1 % | 11/02/2022 |
RP SPAC Fund | Canada | 0 | 793994 | 0 | 793994 | 793994 | 3.4 % | 11/02/2022 |
RP Investment Advisors LP | Ontario, Canada | 0 | 1489723 | 0 | 1489723 | 1489723 | 6.3 % | 11/02/2022 |
RP Select Opportunities Master Fund Ltd. | Cayman Islands | 0 | 560412 | 0 | 560412 | 560412 | 2.4 % | 11/02/2022 |
RP Debt Opportunities Fund Ltd. | Cayman Islands | 0 | 102262 | 0 | 102262 | 102262 | 0.4 % | 11/02/2022 |
RP Alternative Global Bond Fund | Canada | 0 | 33055 | 0 | 33055 | 33055 | 0.1 % | 11/02/2022 |
RP Investment Advisors LP | Ontario, Canada | 0 | 1206670 | 0 | 1206670 | 1206670 | 5.25 % | 06/04/2021 |
RP Select Opportunities Master Fund Ltd. | Cayman Islands | 0 | 531015 | 0 | 531015 | 531015 | 2.31 % | 06/04/2021 |
RP Investment Advisors LP | Ontario, Canada | 0 | 1206670 | 0 | 1206670 | 1206670 | 5.25 % | 06/04/2021 |
RP Select Opportunities Master Fund Ltd. | Cayman Islands | 0 | 531015 | 0 | 531015 | 531015 | 2.31 % | 06/04/2021 |
RP Debt Opportunities Fund Ltd. | Cayman Islands | 0 | 99781 | 0 | 99781 | 99781 | 0.43 % | 06/04/2021 |
RP Alternative Global Bond Fund | Canada | 0 | 32254 | 0 | 32254 | 32254 | 0.14 % | 06/04/2021 |
RP SPAC Fund | Canada | 0 | 543620 | 0 | 543620 | 543620 | 2.36 % | 06/04/2021 |
RP Debt Opportunities Fund Ltd. | Cayman Islands | 0 | 99781 | 0 | 99781 | 99781 | 0.43 % | 06/04/2021 |
RP Alternative Global Bond Fund | Canada | 0 | 32254 | 0 | 32254 | 32254 | 0.14 % | 06/04/2021 |
RP SPAC Fund | Canada | 0 | 543620 | 0 | 543620 | 543620 | 2.36 % | 06/04/2021 |