Miscellaneous Chemical Products - Latest Activist Disclosures

This table shows recent activist investor (Schedule 13D) filings made in this industry. Any investor or hedge fund that makes an investment with the intention of influencing management is considered an activist investor and must file a 13D.

Date Form Target Company Investor Shares Ownership
(Percent)
Ownership Change
(Percent)
2020-03-16 13D FTK / Flotek Industries, Inc. Nierenberg Investment Management Company, Inc. 3,514,062 5.60
2020-02-28 13D/A ESI / Element Solutions Inc Franklin Martin E 28,622,230 11.30 -8.78
2019-11-08 13D/A ESI / Element Solutions Inc Franklin Martin E 31,376,286 6.50 2.04
2019-06-06 13D/A FTK / Flotek Industries, Inc. North Sound Trading, LP 4,300,000 7.50 22.86
2019-05-10 13D FTK / Flotek Industries, Inc. North Sound Trading, LP 3,500,000 6.10
2019-02-12 13D HCGS / HighCom Global Security, Inc. 2538093 Ontario Inc. 194,078,347 50.30 -19.91
2019-02-05 13D/A ESI / Element Solutions Inc Pershing Square Capital Management, L.P. 0 0.00 -100.00
2018-10-25 13D PVNNF / P.V. Nano Cell Ltd. Gtrimg Investments Ltd. 76,776,710 76.89
2018-03-26 13D ENCR / Ener-Core, Inc. Mok Tsan San 696,056 17.05
2017-12-29 13D/A PURE / PURE Bioscience, Inc. Franchise Brands, LLC 0 0.00 -100.00
2017-12-29 13D PURE / PURE Bioscience, Inc. Lee Tom Y 26,180,154 37.10
2016-11-23 13D HCGS / HighCom Global Security, Inc. 2538093 Ontario Inc. 242,330,155 59.30
2016-11-10 13D/A ESI / Element Solutions Inc Pershing Square Capital Management, L.P. 40,451,506 14.50 -5.35
2016-08-29 13D/A PURE / PURE Bioscience, Inc. Franchise Brands, LLC 20,799,999 31.15 -24.27
2016-06-14 13D PURE / PURE Bioscience, Inc. Franchise Brands, LLC 27,466,665 39.02
2016-06-13 13D PURE / PURE Bioscience, Inc. Franchise Brands, LLC 39.02
2016-06-13 13D ENCR / Ener-Core, Inc. Sail Venture Partners, LLC 591,251 15.62
2016-01-19 13D/A FTK / Flotek Industries, Inc. Praesidium Investment Management Company, LLC 1,400,151 2.60 -50.08
2015-12-04 13D/A ESI / Element Solutions Inc Pershing Square Capital Management, L.P. 42,737,394 18.60 0.00
2015-11-19 13D/A HCGS / HighCom Global Security, Inc. 8464081 Canada Inc. 242,330,155 71.90
2015-09-10 13D FTK / Flotek Industries, Inc. Praesidium Investment Management Company, LLC 2,804,874 5.20
2015-06-30 13D/A ESI / Element Solutions Inc Pershing Square Capital Management, L.P. 42,737,394 20.30
2015-03-03 13D/A HCGS / HighCom Global Security, Inc. 8464081 Canada Inc. 236,759,834 64.00
2015-02-02 13D/A ESI / Element Solutions Inc Pershing Square Capital Management, L.P. 42,737,394 22.20
2014-11-18 13D/A HCGS / HighCom Global Security, Inc. 8464081 Canada Inc. 286,759,834 68.40
2014-10-07 13D ESI / Element Solutions Inc Pershing Square Capital Management, L.P. 42,737,394 26.10
2014-01-27 13D ESI / Element Solutions Inc Mariposa Acquisition, LLC 7,257,142 6.90
2013-04-25 13D/A HCGS / HighCom Global Security, Inc. 8464081 Canada Inc. 236,759,834 64.30
2013-04-18 13D HCGS / HighCom Global Security, Inc. 8464081 Canada Inc. 245,380,522 70.50