KNOP

KNOT Offshore Partners LP KNOP

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
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

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
Virginia Foxx 2022-08-02 2022-09-08 Sale (Full) $50,001 - $100,000 NC05
Virginia Foxx 2022-06-10 2022-07-05 Purchase $1,001 - $15,000 NC05
Virginia Foxx 2022-05-13 2022-06-04 Purchase $1,001 - $15,000 NC05
Virginia Foxx 2022-04-22 2022-05-04 Purchase $1,001 - $15,000 NC05
Virginia Foxx 2022-04-11 2022-05-04 Purchase $15,001 - $50,000 NC05
Mark Dr Green 2022-02-07 2022-02-14 Sale (Full) $250,001 - $500,000 TN07
Mark Dr Green 2022-01-06 2022-01-18 Purchase $50,001 - $100,000 TN07
Mark Dr Green 2022-01-12 2022-01-18 Purchase $100,001 - $250,000 TN07