Vertex One Asset Management Inc. (CIK: 0001389610) is a financial institution headquartered at 1920-1177 West Hastings Street, , Vancouver, British Columbia, Canada V6E 2K3. The firm regularly files Form 13F with the U.S. Securities and Exchange Commission (SEC), disclosing its equity holdings and investment positions.
As of the latest reporting period (2019-12-31), the institution manages a portfolio valued at $434.46 M, comprising 107 distinct securities. Over its filing history, it has submitted 30 Form 13F reports.
To view the institution’s full SEC filing history:
🔗 View All SEC Filings
Q4 2019 — Top-10 concentration: 67.0%. Quarterly turnover: 39.4%. ▲ 16 new, +5 added, −5 reduced, ×39 exited.
| Name | Shares | Market Value | Weight | Change | Activity |
|---|---|---|---|---|---|
|
Allergan PLC
N/A
|
160,450 | $30.67 M | 7.06% | ▲ 24,700 | Add 18.2% |
|
Tiffany & Co New
N/A
|
151,953 | $20.31 M | 4.67% | ▲ 151,953 | New Buy |
|
Wright Med Group N V
N/A
|
563,700 | $17.18 M | 3.95% | ▲ 563,700 | New Buy |
|
Zayo Group Hldgs
N/A
|
450,666 | $15.62 M | 3.59% | ▼ 36,100 | Reduce -7.4% |
|
Wabco Holdings
N/A
|
114,276 | $15.48 M | 3.56% | ▲ 19,968 | Add 21.2% |
|
Tech Data
N/A
|
100,018 | $14.36 M | 3.31% | ▲ 100,018 | New Buy |
|
Advanced Disp Svcs INC Del
N/A
|
432,152 | $14.2 M | 3.27% | ▼ 65,718 | Reduce -13.2% |
|
Td Ameritrade Hldg
N/A
|
275,000 | $13.67 M | 3.15% | ▲ 275,000 | New Buy |
|
Tiberius Acquisition
N/A
|
1 M | $10.55 M | 2.43% | ▲ 1,005,000 | New Buy |
|
Cypress Semiconductor
N/A
|
392,631 | $9.16 M | 2.11% | ▲ 304,631 | Add 346.2% |