Investor Pacific Investment Management Co Llc
13D/G Filings

This page shows a list of all the recent 13D/G filings made by Pacific Investment Management Co Llc . Schedule 13D is commonly referred to as a “beneficial ownership report.” The term "beneficial owner" is defined under SEC rules. It includes any person who directly or indirectly shares voting power or investment power (the power to sell the security).

When a person or group of persons acquires beneficial ownership of more than 5% of a voting class of a company’s equity securities, they are required to file a Schedule 13D within ten days after the purchase. Click the link icon to see the full transaction history.

Date Form Target Prev
Shares
Current
Shares
Change
(Percent)
Ownership
(Percent)
Change
(Percent)
2026-05-15 13G/A VG / Venture Global, Inc. 354,683,306 251,315,622
2026-02-11 13D/A CCO / Clear Channel Outdoor Holdings, Inc. 104,872,541 104,722,539
2025-11-14 13G UNIT / Uniti Group Inc. 25,458,917
2025-08-18 13D/A MYNAY / Mynaric AG - Depositary Receipt (Common Stock) 565,224 0
2025-08-12 13G FLYYQ / Spirit Aviation Holdings, Inc. 2,690,808
2025-05-13 13G VG / Venture Global, Inc. 354,683,306
2025-05-01 13D/A VEL / Velocity Financial, Inc. 12,637,764 12,637,764
2025-04-17 13D/A 0
2025-04-15 13D/A VEL / Velocity Financial, Inc. 12,637,764 12,637,764
2025-03-31 13D/A 962,127
2025-03-21 13D/A 962,127
2025-03-10 13D/A VEL / Velocity Financial, Inc. 10,963,806 12,637,764
2025-02-14 13D MYNAY / Mynaric AG - Depositary Receipt (Common Stock) 565,224 565,224
2025-01-07 13D/A 962,127
2024-08-15 13D/A QMCO / Quantum Corporation 10,248,322 10,248,322
2024-07-23 13D/A VEL / Velocity Financial, Inc. 10,963,806 10,963,806
2024-07-22 13D/A VEL / Velocity Financial, Inc. 10,963,806 10,963,806
2024-02-13 13G/A EVGO / EVgo, Inc. 3,709,819 3,709,819
2024-02-13 13G MYNAY / Mynaric AG - Depositary Receipt (Common Stock) 565,224
2024-02-13 13G/A OWLT / Owlet, Inc. 7,311,628 418,477
2024-02-13 13G/A IHRT / iHeartMedia, Inc. 24,760,762 25,170,510
2023-07-14 13D/A CCO / Clear Channel Outdoor Holdings, Inc. 104,258,819 104,872,541
2023-07-14 13D/A VEL / Velocity Financial, Inc. 10,963,806 10,963,806
2023-07-14 13D/A QMCO / Quantum Corporation 10,248,322 10,248,322
2023-07-14 13D/A RAIL / FreightCar America, Inc. 14,703,223 14,703,223
2023-07-14 13D/A 25,387,884
2023-06-14 13D/A QMCO / Quantum Corporation 10,248,322
2023-05-25 13D/A RAIL / FreightCar America, Inc. 11,327,954 14,703,223
2023-03-29 13D/A RAIL / FreightCar America, Inc. 11,132,419 11,327,954
2023-02-14 13G/A IHRT / iHeartMedia, Inc. 24,361,331 24,760,762
2023-02-14 13G/A NE / Noble Corporation plc 6,901,768
2023-02-14 13G/A NYRT / New York REIT, Inc. 1,645,000 1,649,082
2023-02-14 13G/A EVGO / EVgo, Inc. 6,267,725 3,709,819
2023-02-14 13G/A GLSHQ / Gelesis Holdings, Inc. 9,823,876 3,760,000
2022-11-08 13D/A RAIL / FreightCar America, Inc. 10,632,441 11,132,419
2022-08-24 13D/A QMCO / Quantum Corporation 10,248,322
2022-08-12 13D/A QMCO / Quantum Corporation 10,248,322 10,248,322
2022-08-08 13D/A CA48213W2004 / Just Energy Group, Inc. 13,872,207 13,872,207
2022-08-08 13D/A RAIL / FreightCar America, Inc. 9,717,508 10,632,441
2022-07-11 13D 25,387,884
2022-05-16 13D/A CA48213W2004 / Just Energy Group, Inc. 13,872,207 13,872,207
2022-04-26 13D/A QMCO / Quantum Corporation 10,248,322
2022-04-12 13D/A RAIL / FreightCar America, Inc. 7,473,651 9,717,508
2022-03-28 13D QMCO / Quantum Corporation 6,370,070
2022-02-14 13G NE / Noble Corporation plc 25,531,373
2022-02-14 13G/A IHRT / iHeartMedia, Inc. 24,361,331
2022-02-11 13G/A ATEX / Anterix Inc. 1,358,156 0
2022-02-11 13G OWLT / Owlet, Inc. 7,311,628
2022-02-11 13G/A EVGO / EVgo, Inc. 7,816,294 6,267,725
2022-02-10 13G GLS / Gelesis Holdings Inc 9,823,876
2022-01-07 13D/A RAIL / FreightCar America, Inc. 5,860,951 7,473,651
2021-11-09 13D/A RAIL / FreightCar America, Inc. 5,572,242 5,860,951
2021-10-12 13D/A VEL / Velocity Financial, Inc. 4,470,300 10,963,806
2021-10-12 13G/A GSKY / GreenSky Inc - Class A 12,046,264 1,339,206
2021-08-11 13D RAIL / FreightCar America, Inc. 5,307,539 5,572,242
2021-08-10 13G EVGO / EVgo, Inc. 7,816,294
2021-05-26 13D/A CA48213W2004 / Just Energy Group, Inc. 13,872,207 13,872,207
2021-02-16 13G/A QMCO / Quantum Corporation
2021-02-16 13G/A IHRT / iHeartMedia, Inc. 5,924,150
2021-02-16 13G/A QMCO / Quantum Corporation
2021-02-16 13G/A ATEX / Anterix Inc. 1,358,156 1,358,156
2021-02-16 13G/A VICI / VICI Properties Inc. 28,413,319 25,517,398
2021-02-12 13G/A RAIL / FreightCar America, Inc. 4,086,575 5,307,539
2021-02-11 13G/A NYRT / New York REIT, Inc. 1,645,000 1,645,000
2020-12-10 13G RAIL / FreightCar America, Inc. 4,086,575
2020-10-08 13D CA48213W2004 / Just Energy Group, Inc. 13,872,207
2020-08-10 13G/A CZR / Caesars Entertainment, Inc. 49,884,178 0
2020-07-10 13G/A GSKY / GreenSky Inc - Class A 12,046,264 12,046,264
2020-07-09 13G/A GSKY / GreenSky Inc - Class A 8,711,085 12,046,264
2020-04-14 13D VEL / Velocity Financial, Inc. 4,470,300
2020-03-02 13G EMES / Harbor ETF Trust - Harbor Emerging Markets Select ETF 25,941,219
2020-02-13 13G/A CZR / Caesars Entertainment, Inc. 49,799,686 49,884,178
2020-02-13 13G/A GSKY / GreenSky Inc - Class A 8,082,485 8,711,085
2020-02-13 13G/A IHRT / iHeartMedia, Inc. 5,924,150
2019-08-02 13D/A CCO / Clear Channel Outdoor Holdings, Inc. 104,258,819 104,258,819
2019-07-31 13D/A CCO / Clear Channel Outdoor Holdings, Inc. 104,258,819 104,258,819
2019-07-10 13D/A CCO / Clear Channel Outdoor Holdings, Inc. 74,190,908 104,258,819
2019-06-10 13G IHTM / IHEARTMEDIA INC CL A New Delaware 5,883,173
2019-05-13 13D CCO / Clear Channel Outdoor Holdings, Inc. 74,190,908
2019-02-13 13G/A GSKY / GreenSky Inc - Class A 7,027,264 8,082,485
2019-02-13 13G/A NYRT / New York REIT, Inc. 9,297,793 1,645,000
2019-02-13 13G/A CZR / Caesars Entertainment, Inc. 46,055,185 49,799,686
2019-02-13 13G/A VICI / VICI Properties Inc. 28,498,883 28,413,319
2019-02-13 13G/A ATEX / Anterix Inc. 1,500,000 1,358,156
2019-01-10 13G QMCO / Quantum Corporation 4,309,464
2018-06-06 13G GSKY / GreenSky Inc - Class A 7,027,264 7,027,264
2018-06-05 13G GSKY / GreenSky Inc - Class A 7,027,264
2018-04-10 13G/A PHH / Park Ha Biological Technology Co., Ltd. 4,479,263 573,924
2018-02-15 13G VICI / VICI Properties Inc. 28,498,883 28,498,883
2018-02-15 13G CZR / Caesars Entertainment, Inc. 46,055,185 46,055,185
2018-02-15 13G NYRT / New York REIT, Inc. 9,297,793 9,297,793
2018-02-15 13G PHH / Park Ha Biological Technology Co., Ltd. 4,479,263 4,479,263
2018-02-15 13G ORIG / Ocean Rig UDW Inc. 4,992,068 4,992,068
2018-02-14 13G VICI / VICI Properties Inc. 28,498,883
2018-02-14 13G CZR / Caesars Entertainment, Inc. 46,055,185
2018-02-14 13G NYRT / New York REIT, Inc. 9,297,793
2018-02-14 13G ORIG / Ocean Rig UDW Inc. 4,992,068
2018-02-14 13G PHH / Park Ha Biological Technology Co., Ltd. 5,139,811 4,479,263
2017-11-13 13G VICI / VICI Properties Inc. 20,209,673
2017-11-13 13G/A PHH / Park Ha Biological Technology Co., Ltd. 5,598,554 5,139,811
2017-06-12 13G FES / Forbes Energy Services Ltd. 576,018
2017-02-14 13G XFTB / XFit Brands, Inc. 2,040,640
2016-12-28 13D/A FPAY / FlexShopper, Inc. 20,000 20,000
2016-06-21 13D FPAY / FlexShopper, Inc. 20,000
2016-02-16 13G ATEX / Anterix Inc. 1,500,000
2016-02-16 13G/A PHH / Park Ha Biological Technology Co., Ltd. 5,598,554
2016-02-16 13G ATEX / Anterix Inc. 1,500,000
2015-02-13 13G/A US19626G1085 / Colony Capital Inc 1,466,760
2015-02-13 13G/A SUNS / Sunrise Realty Trust, Inc. 0
2015-02-13 13G/A PHH / Park Ha Biological Technology Co., Ltd. 5,886,652
2015-02-13 13G/A TROX / Tronox Holdings plc 1,088,833
2015-02-13 13G/A SLRC / SLR Investment Corp. 876,751
2014-06-06 13G/A PHH / Park Ha Biological Technology Co., Ltd. 6,094,733
2014-02-12 13G SLRC / SLR Investment Corp. 2,789,647
2014-02-12 13G US19626G1085 / Colony Capital Inc 4,466,663
2014-02-12 13G SUNS / Sunrise Realty Trust, Inc. 1,002,766
2014-02-12 13G TROX / Tronox Holdings plc 3,232,282
2014-02-12 13G PHH / Park Ha Biological Technology Co., Ltd. 3,334,605
2013-02-14 13G SLRC / SLR Investment Corp. 2,027,375
2013-02-14 13G SUNS / Sunrise Realty Trust, Inc. 677,328