CSAM Americas Holding Corp.
CIK: 0001734915
Primary company: CREDIT SUISSE ASSET MANAGEMENT INCOME FUND INC (CIK)
CSAM Americas Holding Corp. is a corporate insider at CREDIT SUISSE ASSET MANAGEMENT INCOME FUND INC (CIK) filing SEC Form 4 transactions. 25 transactions across 2 companies, totaling $2,059,300 in purchases and $738,072 in sales. Source: SEC EDGAR.
Companies
Transaction History
Source: SEC EDGAR Form 4 insider transaction filings.
Company | Type | Shares | Price | Value | Shares After | Date | SEC |
|---|---|---|---|---|---|---|---|
| Sale | 186,825 | $2.82 | $527K | 373,706 | 1/4/2019 Filed: 1/4/2019 | Filing → | |
| Sale | 96,450 | $2.19 | $211K | 192,929 | 1/4/2019 Filed: 1/4/2019 | Filing → | |
| Purchase | 5,540 | $3.22 | $18K | 560,531 | 4/20/2018 Filed: 4/24/2018 | Filing → | |
| Purchase | 17 | $2.64 | $45 | 289,379 | 4/20/2018 Filed: 4/24/2018 | Filing → | |
| Purchase | 46,081 | $3.25 | $150K | 554,991 | 4/19/2018 Filed: 4/20/2018 | Filing → | |
| Purchase | 46,081 | $3.25 | $150K | 508,910 | 4/18/2018 Filed: 4/19/2018 | Filing → | |
| Purchase | 50,837 | $2.65 | $135K | 289,362 | 4/18/2018 Filed: 4/19/2018 | Filing → | |
| Purchase | 13,749 | $3.27 | $45K | 462,829 | 4/4/2018 Filed: 4/5/2018 | Filing → | |
| Purchase | 28,049 | $3.21 | $90K | 449,080 | 3/23/2018 Filed: 4/5/2018 | Filing → | |
| Purchase | 35,821 | $3.26 | $117K | 421,031 | 4/3/2018 Filed: 4/4/2018 | Filing → | |
| Purchase | 35,821 | $3.23 | $116K | 385,210 | 4/2/2018 Filed: 4/3/2018 | Filing → | |
| Purchase | 32,517 | $3.22 | $105K | 349,389 | 3/29/2018 Filed: 4/2/2018 | Filing → | |
| Purchase | 23,800 | $3.19 | $76K | 316,872 | 3/28/2018 Filed: 3/29/2018 | Filing → | |
| Purchase | 32,517 | $3.21 | $105K | 293,072 | 3/27/2018 Filed: 3/28/2018 | Filing → | |
| Purchase | 32,517 | $3.19 | $104K | 260,555 | 3/26/2018 Filed: 3/27/2018 | Filing → | |
| Purchase | 28,049 | $3.22 | $90K | 228,038 | 3/22/2018 Filed: 3/23/2018 | Filing → | |
| Purchase | 17,000 | $2.65 | $45K | 238,525 | 3/22/2018 Filed: 3/23/2018 | Filing → | |
| Purchase | 18,900 | $3.21 | $61K | 199,989 | 3/21/2018 Filed: 3/22/2018 | Filing → | |
| Purchase | 65,917 | $2.66 | $176K | 221,525 | 3/21/2018 Filed: 3/22/2018 | Filing → | |
| Purchase | 28,049 | $3.25 | $91K | 181,089 | 3/20/2018 Filed: 3/21/2018 | Filing → |
Type
Sale
Shares
186,825
Price
$2.82
Value
$527K
Type
Sale
Shares
96,450
Price
$2.19
Value
$211K
Type
Purchase
Shares
5,540
Price
$3.22
Value
$18K
Type
Purchase
Shares
17
Price
$2.64
Value
$45
Type
Purchase
Shares
46,081
Price
$3.25
Value
$150K
Type
Purchase
Shares
46,081
Price
$3.25
Value
$150K
Type
Purchase
Shares
50,837
Price
$2.65
Value
$135K
Type
Purchase
Shares
13,749
Price
$3.27
Value
$45K
Type
Purchase
Shares
28,049
Price
$3.21
Value
$90K
Type
Purchase
Shares
35,821
Price
$3.26
Value
$117K
Type
Purchase
Shares
35,821
Price
$3.23
Value
$116K
Type
Purchase
Shares
32,517
Price
$3.22
Value
$105K
Type
Purchase
Shares
23,800
Price
$3.19
Value
$76K
Type
Purchase
Shares
32,517
Price
$3.21
Value
$105K
Type
Purchase
Shares
32,517
Price
$3.19
Value
$104K
Type
Purchase
Shares
28,049
Price
$3.22
Value
$90K
Type
Purchase
Shares
17,000
Price
$2.65
Value
$45K
Type
Purchase
Shares
18,900
Price
$3.21
Value
$61K
Type
Purchase
Shares
65,917
Price
$2.66
Value
$176K
Type
Purchase
Shares
28,049
Price
$3.25
Value
$91K
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