OMP AY Holdings Limited |
Malta |
0 |
2632916 |
0 |
2632916 |
2632916 |
7.2 % |
14/11/2024 |
Offshore Merchant Partners Asset Yield Fund L.P. |
Guernsey |
0 |
2632916 |
0 |
2632916 |
2632916 |
7.2 % |
14/11/2024 |
OMP SICAV Plc |
Malta |
0 |
2632916 |
0 |
2632916 |
2632916 |
7.2 % |
14/11/2024 |
OMP Asset Yield |
Guernsey |
0 |
2632916 |
0 |
2632916 |
2632916 |
7.2 % |
14/11/2024 |
Offshore Merchant Partners AS |
Norway |
0 |
2632916 |
0 |
2632916 |
2632916 |
7.2 % |
14/11/2024 |
Blue Northern Lights Ltd. |
England and Wales |
0 |
2632916 |
0 |
2632916 |
2632916 |
7.2 % |
14/11/2024 |
Blue Container Ltd. |
Cayman Islands |
0 |
2632916 |
0 |
2632916 |
2632916 |
7.2 % |
14/11/2024 |
EnTrust Global Partners Offshore LP |
Delaware |
0 |
2632916 |
0 |
2632916 |
2632916 |
7.2 % |
14/11/2024 |
EnTrust Global LLC |
Delaware |
0 |
2632916 |
0 |
2632916 |
2632916 |
7.2 % |
14/11/2024 |
Gregg S. Hymowitz |
United States |
0 |
2632916 |
0 |
2632916 |
2632916 |
7.2 % |
14/11/2024 |
GH EP Holdings LLC |
Delaware |
0 |
2632916 |
0 |
2632916 |
2632916 |
7.2 % |
14/11/2024 |
OMP AY Preferred Limited |
Malta |
0 |
2632916 |
0 |
2632916 |
2632916 |
7.2 % |
14/11/2024 |
Astaris Capital Management |
Cayman Islands |
0 |
1739180 |
0 |
1739180 |
1739180 |
5.1 % |
10/10/2024 |
Martin Beck |
United Kingdom |
0 |
1739180 |
0 |
1739180 |
1739180 |
5.1 % |
10/10/2024 |
Astaris Capital Management LLP |
United Kingdom |
0 |
1739180 |
0 |
1739180 |
1739180 |
5.1 % |
10/10/2024 |
Offshore Merchant Partners Asset Yield Fund L.P. |
Guernsey |
0 |
2323541 |
0 |
2323541 |
2323541 |
6.4 % |
19/01/2023 |
OMP AY Preferred Limited |
Malta |
0 |
2323541 |
0 |
2323541 |
2323541 |
6.4 % |
19/01/2023 |
HitecVision VI, L.P. |
Guernsey |
0 |
2323541 |
0 |
2323541 |
2323541 |
6.4 % |
19/01/2023 |
OMP AY Holdings Limited |
Malta |
0 |
2323541 |
0 |
2323541 |
2323541 |
6.4 % |
19/01/2023 |
OMP SICAV Plc |
Malta |
0 |
2323541 |
0 |
2323541 |
2323541 |
6.4 % |
19/01/2023 |
OMP AY Preferred Limited |
Malta |
0 |
2331250 |
0 |
2331250 |
2331250 |
6.5 % |
20/01/2022 |
Offshore Merchant Partners Asset Yield Fund L.P. |
Guernsey |
0 |
2331250 |
0 |
2331250 |
2331250 |
6.5 % |
20/01/2022 |
OMP SICAV Plc |
Malta |
0 |
2331250 |
0 |
2331250 |
2331250 |
6.5 % |
20/01/2022 |
OMP AY Preferred Limited |
Malta |
0 |
2331250 |
0 |
2331250 |
2331250 |
6.5 % |
20/01/2022 |
HitecVision VI, L.P. |
Guernsey |
0 |
2331250 |
0 |
2331250 |
2331250 |
6.5 % |
20/01/2022 |
OMP SICAV Plc |
Malta |
0 |
2331250 |
0 |
2331250 |
2331250 |
6.5 % |
20/01/2022 |
Offshore Merchant Partners Asset Yield Fund L.P. |
Guernsey |
0 |
2331250 |
0 |
2331250 |
2331250 |
6.5 % |
20/01/2022 |
OMP AY Holdings Limited |
Malta |
0 |
2331250 |
0 |
2331250 |
2331250 |
6.5 % |
20/01/2022 |
HitecVision VI, L.P. |
Guernsey |
0 |
2331250 |
0 |
2331250 |
2331250 |
6.5 % |
20/01/2022 |
OMP AY Holdings Limited |
Malta |
0 |
2331250 |
0 |
2331250 |
2331250 |
6.5 % |
20/01/2022 |
Invesco Ltd. |
Bermuda |
1776804 |
0 |
1776804 |
0 |
1776804 |
5.4 % |
12/02/2021 |
Tortoise Capital Advisors, L.L.C. |
Delaware |
0 |
0 |
409167 |
0 |
409167 |
1.2 % |
12/02/2021 |
Tortoise Capital Advisors, L.L.C. |
Delaware |
0 |
0 |
409167 |
0 |
409167 |
1.2 % |
12/02/2021 |
OMP AY Holdings Limited |
Malta |
0 |
2199583 |
0 |
2199583 |
2199583 |
6.3 % |
05/02/2021 |
OMP SICAV Plc |
Malta |
0 |
2199583 |
0 |
2199583 |
2199583 |
6.3 % |
05/02/2021 |
Offshore Merchant Partners Asset Yield Fund L.P. |
Guernsey |
0 |
2199583 |
0 |
2199583 |
2199583 |
6.3 % |
05/02/2021 |
OMP AY Holdings Limited |
Malta |
0 |
2199583 |
0 |
2199583 |
2199583 |
6.3 % |
05/02/2021 |
OMP AY Preferred Limited |
Malta |
0 |
2199583 |
0 |
2199583 |
2199583 |
6.3 % |
05/02/2021 |
HitecVision VI, L.P. |
Guernsey |
0 |
2199583 |
0 |
2199583 |
2199583 |
6.3 % |
05/02/2021 |
OMP SICAV Plc |
Malta |
0 |
2199583 |
0 |
2199583 |
2199583 |
6.3 % |
05/02/2021 |
Offshore Merchant Partners Asset Yield Fund L.P. |
Guernsey |
0 |
2199583 |
0 |
2199583 |
2199583 |
6.3 % |
05/02/2021 |
OMP AY Preferred Limited |
Malta |
0 |
2199583 |
0 |
2199583 |
2199583 |
6.3 % |
05/02/2021 |
HitecVision VI, L.P. |
Guernsey |
0 |
2199583 |
0 |
2199583 |
2199583 |
6.3 % |
05/02/2021 |
Tortoise Capital Advisors, L.L.C. |
Delaware |
149 |
1622726 |
149 |
2037438 |
2037587 |
6.2 % |
14/02/2020 |
Tortoise Capital Advisors, L.L.C. |
Delaware |
149 |
1622726 |
149 |
2037438 |
2037587 |
6.2 % |
14/02/2020 |
Advisory Research Inc. |
Delaware |
0 |
0 |
0 |
0 |
0 |
0 % |
14/02/2020 |
Invesco Ltd. |
Bermuda |
1837025 |
0 |
1837025 |
0 |
1837025 |
5.6 % |
12/02/2020 |
OMP AY Preferred Limited |
Malta |
0 |
2146457 |
0 |
2146457 |
2146457 |
6.2 % |
10/02/2020 |
OMP AY Holdings Limited |
Malta |
0 |
2146457 |
0 |
2146457 |
2146457 |
6.2 % |
10/02/2020 |
Offshore Merchant Partners Asset Yield Fund L.P. |
Guernsey |
0 |
2146457 |
0 |
2146457 |
2146457 |
6.2 % |
10/02/2020 |
OMP SICAV Plc |
Malta |
0 |
2146457 |
0 |
2146457 |
2146457 |
6.2 % |
10/02/2020 |
HitecVision VI, L.P. |
Guernsey |
0 |
2146457 |
0 |
2146457 |
2146457 |
6.2 % |
10/02/2020 |
OMP SICAV p.l.c. |
Malta |
0 |
2126875 |
0 |
2126875 |
2126875 |
6.1 % |
30/09/2019 |
HitecVision VI, LP |
Guernsey |
0 |
2126875 |
0 |
2126875 |
2126875 |
6.1 % |
30/09/2019 |
OMP AY Preferred Limited |
Malta |
0 |
2126875 |
0 |
2126875 |
2126875 |
6.1 % |
30/09/2019 |
Offshore Merchant Partners Asset Yield Fund, LP |
Guernsey |
0 |
2126875 |
0 |
2126875 |
2126875 |
6.1 % |
30/09/2019 |
OMP AY Preferred Limited |
Malta |
0 |
2126875 |
0 |
2126875 |
2126875 |
6.1 % |
30/09/2019 |
OMP AY Holdings Limited |
Malta |
0 |
2126875 |
0 |
2126875 |
2126875 |
6.1 % |
30/09/2019 |
OMP AY Holdings Limited |
Malta |
0 |
2126875 |
0 |
2126875 |
2126875 |
6.1 % |
30/09/2019 |
OMP SICAV p.l.c. |
Malta |
0 |
2126875 |
0 |
2126875 |
2126875 |
6.1 % |
30/09/2019 |
HitecVision VI, LP |
Guernsey |
0 |
2126875 |
0 |
2126875 |
2126875 |
6.1 % |
30/09/2019 |
Offshore Merchant Partners Asset Yield Fund, LP |
Guernsey |
0 |
2126875 |
0 |
2126875 |
2126875 |
6.1 % |
30/09/2019 |
Piper Jaffray Companies |
Delaware |
0 |
1664975 |
0 |
1664975 |
1664975 |
5.1 % |
13/02/2019 |
Advisory Research Inc. |
Delaware |
1664975 |
0 |
1664975 |
0 |
1664975 |
5.1 % |
13/02/2019 |
Advisory Research Inc. |
Delaware |
1664975 |
0 |
1664975 |
0 |
1664975 |
5.1 % |
13/02/2019 |
Piper Jaffray Companies |
Delaware |
0 |
1664975 |
0 |
1664975 |
1664975 |
5.1 % |
13/02/2019 |
OppenheimerFunds, Inc. |
Colorado |
0 |
1813987 |
0 |
1813987 |
1813987 |
5.55 % |
24/01/2019 |
Clearbridge Investments, LLC010846058 |
Delaware |
1499962 |
0 |
1499962 |
0 |
1499962 |
4.59 % |
14/02/2018 |
OppenheimerFunds, Inc. |
Colorado |
0 |
1812087 |
0 |
1812087 |
1812087 |
5.54 % |
07/02/2018 |
OppenheimerFunds, Inc. |
Colorado |
0 |
1812087 |
0 |
1812087 |
1812087 |
5.54 % |
07/02/2018 |
Goldman Sachs Asset Management (Goldman Sachs Asset Management, L.P., together with GS Investment Strategies, LLC, "Goldman Sachs Asset Management") |
Delaware |
0 |
1455653 |
0 |
1455653 |
1455653 |
4.5 % |
05/02/2018 |
Goldman Sachs Asset Management (Goldman Sachs Asset Management, L.P., together with GS Investment Strategies, LLC, "Goldman Sachs Asset Management") |
Delaware |
0 |
1455653 |
0 |
1455653 |
1455653 |
4.5 % |
05/02/2018 |
Clearbridge Investments, LLC010846058 |
Delaware |
1326822 |
0 |
1326822 |
0 |
1326822 |
7.12 % |
14/02/2017 |
Advisory Research Inc. |
Delaware |
1490925 |
0 |
1490925 |
0 |
1490925 |
5 % |
13/02/2017 |
Piper Jaffray Companies |
Delaware |
0 |
1490925 |
0 |
1490925 |
1490925 |
5 % |
13/02/2017 |
Goldman Sachs Asset Management (Goldman Sachs Asset Management, L.P., together with GS Investment Strategies, LLC, "Goldman Sachs Asset Management") |
Delaware |
0 |
1632981 |
0 |
1632981 |
1632981 |
5.5 % |
08/02/2017 |
OppenheimerFunds, Inc. |
Colorado |
0 |
1118187 |
0 |
1118187 |
1118187 |
6 % |
06/02/2017 |
Oppenheimer SteelPath MLP Income Fund |
Delaware |
0 |
1103652 |
0 |
1103652 |
1103652 |
5.93 % |
06/02/2017 |
OppenheimerFunds, Inc. |
Colorado |
0 |
1118187 |
0 |
1118187 |
1118187 |
6 % |
06/02/2017 |
Oppenheimer SteelPath MLP Income Fund |
Delaware |
0 |
1103652 |
0 |
1103652 |
1103652 |
5.93 % |
06/02/2017 |
Advisory Research Inc. |
Delaware |
5 |
0 |
1465055 |
0 |
1465055 |
7.8 % |
18/02/2016 |
Advisory Research Inc. |
Delaware |
5 |
0 |
1465055 |
0 |
1465055 |
7.8 % |
18/02/2016 |
Piper Jaffray Companies |
Delaware |
0 |
1465055 |
0 |
1465055 |
1465055 |
7.8 % |
18/02/2016 |
Piper Jaffray Companies |
Delaware |
0 |
1465055 |
0 |
1465055 |
1465055 |
7.8 % |
18/02/2016 |
Clearbridge Investments, LLC010846058 |
Delaware |
1500751 |
0 |
1500751 |
0 |
1500751 |
7.98 % |
16/02/2016 |
Advisory Research Inc. |
Delaware |
18807500 |
0 |
18807500 |
0 |
18807500 |
7.8 % |
16/02/2016 |
Advisory Research Inc. |
Delaware |
18807500 |
0 |
18807500 |
0 |
18807500 |
7.8 % |
16/02/2016 |
Piper Jaffray Companies |
Delaware |
0 |
18807500 |
0 |
18807500 |
18807500 |
7.8 % |
16/02/2016 |
Piper Jaffray Companies |
Delaware |
0 |
18807500 |
0 |
18807500 |
18807500 |
7.8 % |
16/02/2016 |
Goldman Sachs Asset Management (Goldman Sachs Asset Management, L.P., together with GS Investment Strategies, LLC, "Goldman Sachs Asset Management") |
Delaware |
0 |
1766502 |
0 |
1766502 |
1766502 |
9.4 % |
08/02/2016 |
Goldman Sachs Asset Management (Goldman Sachs Asset Management, L.P., together with GS Investment Strategies, LLC, "Goldman Sachs Asset Management") |
Delaware |
0 |
1766502 |
0 |
1766502 |
1766502 |
9.4 % |
08/02/2016 |
OppenheimerFunds, Inc. |
Colorado |
0 |
1071537 |
0 |
1071537 |
1071537 |
5.7 % |
04/02/2016 |
Oppenheimer SteelPath MLP Income Fund |
Delaware |
0 |
1053652 |
0 |
1053652 |
1053652 |
5.6 % |
04/02/2016 |
OppenheimerFunds, Inc. |
Colorado |
0 |
1071537 |
0 |
1071537 |
1071537 |
5.7 % |
04/02/2016 |
Oppenheimer SteelPath MLP Income Fund |
Delaware |
0 |
1053652 |
0 |
1053652 |
1053652 |
5.6 % |
04/02/2016 |
Clearbridge Investments, LLC010846058 |
Delaware |
1199251 |
0 |
1199251 |
0 |
1199251 |
8.65 % |
17/02/2015 |
Goldman Sachs Asset Management |
Delaware |
0 |
1971882 |
0 |
1971882 |
1971882 |
14.2 % |
13/02/2015 |
OppenheimerFunds, Inc. |
Colorado |
0 |
1060137 |
0 |
1060137 |
1060137 |
7.96 % |
27/01/2015 |
Oppenheimer SteelPath MLP Income Fund |
Delaware |
1052952 |
0 |
0 |
1052952 |
1052952 |
7.91 % |
27/01/2015 |
Goldman Sachs Asset Management (Goldman Sachs Asset Management, L.P., together with GS Investment Strategies, LLC, "Goldman Sachs Asset Management") |
Delaware |
0 |
1082062 |
0 |
1082062 |
1082062 |
12.6 % |
13/02/2014 |
Goldman Sachs Asset Management (Goldman Sachs Asset Management, L.P., together with GS Investment Strategies, LLC, "Goldman Sachs Asset Management") |
Delaware |
0 |
1082062 |
0 |
1082062 |
1082062 |
12.6 % |
13/02/2014 |
ANDERSON CAPITAL ADVISORS, A. KAYNE |
IS A CALIFORNIA |
0 |
1756626 |
0 |
1756626 |
1756626 |
10.24 % |
07/06/2013 |
ANDERSON CAPITAL ADVISORS, A. KAYNE |
IS A CALIFORNIA |
0 |
1756626 |
0 |
1756626 |
1756626 |
10.24 % |
07/06/2013 |
Goldman Sachs Asset Management |
Delaware |
0 |
1095048 |
0 |
1095048 |
1095048 |
12.8 % |
10/05/2013 |
Goldman Sachs Asset Management |
Delaware |
0 |
1095048 |
0 |
1095048 |
1095048 |
12.8 % |
10/05/2013 |
KAYNE ANDERSON CAPITAL ADVISORS, L.P. RICHARD A. KAYNE |
IS A CALIFORNIA |
0 |
1430622 |
0 |
1430622 |
1430622 |
8.35 % |
10/05/2013 |
KAYNE ANDERSON CAPITAL ADVISORS, L.P. RICHARD A. KAYNE |
IS A CALIFORNIA |
0 |
1430622 |
0 |
1430622 |
1430622 |
8.35 % |
10/05/2013 |
KAYNE ANDERSON CAPITAL ADVISORS, RICHARD A. KAYNE |
IS A CALIFORNIA |
0 |
1430622 |
0 |
1430622 |
1430622 |
16.7 % |
09/05/2013 |
KAYNE ANDERSON CAPITAL ADVISORS, RICHARD A. KAYNE |
IS A CALIFORNIA |
0 |
1430622 |
0 |
1430622 |
1430622 |
16.7 % |
09/05/2013 |