VTRU

Vitru Limited VTRU

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
Ninety One UK Limited United Kingdom 0 692366 0 692366 692366 2.04 % 07/11/2023
Ninety One UK Limited United Kingdom 0 692366 0 692366 692366 2.04 % 07/11/2023
MULTIESTRATÉGIA Brazil 3190790 0 3190790 0 3190790 9.4 % 03/11/2023
MULTIESTRATÉGIA Brazil 3190790 0 3190790 0 3190790 9.4 % 03/11/2023
Ninety One UK Limited 2474745 0 2474745 0 2474745 7.39 % 13/02/2023
Ninety One UK Limited 2474745 0 2474745 0 2474745 7.39 % 13/02/2023
Investimento em Participacoes Multiestrategia II 0 2082157 0 2082157 2082175 5.8 % 09/02/2023
Mundi Holdings II, LLC Person 0 2082157 0 2082157 2082157 5.8 % 09/02/2023
Mundi Holdings II, LLC 0 2082157 0 2082157 2082157 5.8 % 09/02/2023
SPX Private Equity Gestao de Recursos Ltda. 0 2082157 0 2082157 2082157 5.8 % 09/02/2023
SPX Private Equity Gestao de Recursos Ltda. Person 0 2082157 0 2082157 2082157 5.8 % 09/02/2023
Investimento em Participacoes Multiestrategia II Person 0 2082157 0 2082157 2082175 5.8 % 09/02/2023
Crescera Asset Management Ltda. 0 3852266 0 3852266 3852266 11.5 % 18/01/2023
Crescera Partners S.A. 0 3852266 0 3852266 3852266 11.5 % 18/01/2023
Crescera Asset Management Ltda. 0 3852266 0 3852266 3852266 11.5 % 18/01/2023
Crescera Investimentos Ltda. 0 3852266 0 3852266 3852266 11.5 % 18/01/2023
Crescera Growth Capital Master V Fundo de Investimento em Participações - Multiestratégia 0 2297332 0 2297332 2297332 6.9 % 18/01/2023
Co-Investimento 0 1554934 0 1554934 1554934 4.7 % 18/01/2023
Crescera Growth Capital Master V Fundo de Investimento em Participações - Multiestratégia 0 2297332 0 2297332 2297332 6.9 % 18/01/2023
Co-Investimento 0 1554934 0 1554934 1554934 4.7 % 18/01/2023
Crescera Investimentos Ltda. 0 3852266 0 3852266 3852266 11.5 % 18/01/2023
Crescera Partners S.A. 0 3852266 0 3852266 3852266 11.5 % 18/01/2023
Mundi Holdings II, LLC Brazil 0 2082157 0 2082157 2082157 8.8 % 24/02/2022
SPX Private Equity Gestao de Recursos Ltda. 0 2082157 0 2082157 2082157 8.8 % 24/02/2022
Investimento em Participacoes Multiestrategia II Brazil 0 2082157 0 2082157 2082175 8.8 % 24/02/2022
Mundi Holdings II, LLC 0 2082157 0 2082157 2082157 8.8 % 24/02/2022
SPX Private Equity Gestao de Recursos Ltda. Brazil 0 2082157 0 2082157 2082157 8.8 % 24/02/2022
Investimento em Participacoes Multiestrategia II 0 2082157 0 2082157 2082175 8.8 % 24/02/2022
Navi Holding Participacoes SA Brazil 0 1461184 0 1461184 1461184 6.2 % 14/02/2022
Carlyle Holdings II L.L.C. 0 4164314 0 4164314 4164314 17.7 % 11/02/2022
TC Group Cayman Investment Holdings Sub L.P. 0 4164314 0 4164314 4164314 17.7 % 11/02/2022
Mundi Holdings I, L.L.C. 0 4164314 0 4164314 4164314 17.7 % 11/02/2022
CSABF General Partner Limited 0 4164314 0 4164314 4164314 17.7 % 11/02/2022
CG Subsidiary Holdings L.L.C. 0 4164314 0 4164314 4164314 17.7 % 11/02/2022
The Carlyle Group Inc. 0 4164314 0 4164314 4164314 17.7 % 11/02/2022
TC Group Cayman Investment Holdings, L.P. 0 4164314 0 4164314 4164314 17.7 % 11/02/2022
CSABF General Partner, L.P. 0 4164314 0 4164314 4164314 17.7 % 11/02/2022
Carlyle Holdings II GP L.L.C. 0 4164314 0 4164314 4164314 17.7 % 11/02/2022
Carlyle Group Management L.L.C. 0 0 0 0 0 0 % 11/02/2022
Compass Group LLC OR PLACE OF ORGANIZATION 0 2587031 0 2587031 2587031 10.99 % 07/01/2022
NB Verrocchio LP Delaware 0 4355932 0 4355932 4355932 18.9 % 16/02/2021
NB Alternatives Advisers LLC Delaware 0 4355932 0 4355932 4355932 18.9 % 16/02/2021
NB Verrocchio LP Delaware 0 4355932 0 4355932 4355932 18.9 % 16/02/2021
NB Alternatives Advisers LLC Delaware 0 4355932 0 4355932 4355932 18.9 % 16/02/2021
Navi Capital Administradora e Gestora de Recursos Ltda. 0 1229401 0 1229401 1229401 5.3 % 16/02/2021
Navi Capital Administradora e Gestora de Recursos Ltda. 0 1229401 0 1229401 1229401 5.3 % 16/02/2021
The Carlyle Group Inc. 0 6246471 0 6246471 6246471 27.1 % 12/02/2021
CG Subsidiary Holdings L.L.C. 0 6246471 0 6246471 6246471 27.1 % 12/02/2021
Carlyle Holdings II L.L.C. 0 6246471 0 6246471 6246471 27.1 % 12/02/2021
Carlyle Holdings II GP L.L.C. 0 6246471 0 6246471 6246471 27.1 % 12/02/2021
II 0 6246471 0 6246471 6246471 27.1 % 12/02/2021
TCG Gestor Ltda. 0 6246471 0 6246471 6246471 27.1 % 12/02/2021
TC Group Cayman Investment Holdings, L.P. 0 6246471 0 6246471 6246471 27.1 % 12/02/2021
TC Group Cayman Investment Holdings Sub L.P. 0 6246471 0 6246471 6246471 27.1 % 12/02/2021
CSABF General Partner Limited 0 6246471 0 6246471 6246471 27.1 % 12/02/2021
CSABF General Partner, L.P. 0 6246471 0 6246471 6246471 27.1 % 12/02/2021
Carlyle Group Management L.L.C. 0 6246471 0 6246471 6246471 27.1 % 12/02/2021
TCG FBIE Holdings, L.P. 0 6246471 0 6246471 6246471 27.1 % 12/02/2021
Mundi Holdings II, L.L.C. 0 6246471 0 6246471 6246471 27.1 % 12/02/2021
Mundi Holdings I, L.L.C. 0 6246471 0 6246471 6246471 27.1 % 12/02/2021
OR 0 978289 0 978289 978289 4.2 % 11/02/2021
OR 0 2090670 0 2090670 2090670 9.1 % 11/02/2021
OR 0 940862 0 940862 940862 4.1 % 11/02/2021
OR 0 1401130 0 1401130 1401130 6.1 % 11/02/2021
OR 0 6246471 0 6246471 6246471 27.1 % 11/02/2021
OR 0 835520 0 835520 835520 3.6 % 11/02/2021
Compass Group LLC New York 0 1522746 0 1522746 1522746 6.6 % 01/02/2021
Compass Group LLC New York 0 1522746 0 1522746 1522746 6.6 % 01/02/2021
Ninety One UK Limited United Kingdom 1424723 0 1424723 0 1424723 6.18 % 07/01/2021
Ninety One UK Limited United Kingdom 1424723 0 1424723 0 1424723 6.18 % 07/01/2021
Navi Capital Administradora e Gestora de Recursos Ltda. 0 1229401 0 1229401 1229401 5.3 % 25/09/2020

Senat trading

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Senat Divulgation

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