Tom Malinowski

NJ07Member7 filings389 transactions

Total Purchases (max)

$3.4M

Total Sales (max)

$930K

Net Portfolio Value

$2.5M

41 active positions of 93 total · Using max values from amount ranges

#TickerAssetPurchasesSalesNet ValueTxns% of Portfolio
1PCRX2000076264 Pacira BioSciences, Inc.$290K$290K1011.8%
2YEXTYext, Inc.$285K$15K$270K1311.0%
3CSLTCastlight Health, Inc. Class B$180K$60K$120K164.9%
4CMLFUCM life Sciences, Inc. - unit$110K$110K54.5%
5ANIKAnika Therapeutics Inc.$145K$45K$100K74.1%
6GISgeneral Mills, Inc.$100K$100K14.1%
7PCPLCC Neuberger Principal Holdings I Class A Ordinary Shares$95K$95K43.9%
8ZUOZuora, Inc. Class A$205K$110K$95K143.9%
9NVGSdate. 2000076215 Navigator Holdings ltd. Ordinary Shares$90K$90K63.7%
10CMLF2000076293 CM life Sciences, Inc. - Class A$80K$80K33.3%
11CNF2000076274 CNFinance Holdings limited American Depositary Shares, each representing twenty$75K$75K53.1%
12TDCTeradata Corporation$150K$80K$70K52.9%
13lumber liquidators Holdings, Inc (ll)$80K$15K$65K42.6%
14BLFSBiolife Solutions, Inc.$65K$65K22.6%
15NEWR2000076363 New Relic, Inc.$60K$60K42.4%
16PROFProfound Medical Corp. - common stock$60K$60K42.4%
17BRBR2000081119 BellRing Brands, Inc. Class A$100K$45K$55K52.2%
18REG2000081111 Regency Centers Corporation$150K$100K$50K52.0%
19FRTFederal Realty Investment Trust$115K$65K$50K52.0%
20CMLTUCM life Sciences III Inc. - unit$50K$50K12.0%
21Blackline, Inc. (Bl)$65K$15K$50K32.0%
22PSIX2000076361 Power Solutions International, Inc.$90K$50K$40K71.6%
23DOMO2000081103 Domo, Inc. - Class B$100K$65K$35K41.4%
24AIC3.ai, Inc. Class A$50K$15K$35K21.4%
25KIMKimco Realty Corporation$50K$15K$35K21.4%
262000076246 Blackline, Inc. (Bl)$30K$30K21.2%
27CELCCelcuity Inc.$45K$15K$30K41.2%
28TCO2000076356 Taubman Centers, Inc.$30K$30K21.2%
29TFFPTFF Pharmaceuticals, Inc.$30K$30K21.2%
30VIOT2000081116 Viomi Technology Co., ltd - American Depositary Shares$30K$30K21.2%
31Colgate-Palmolive Company (Cl)$50K$30K$20K30.8%
32APENApollo Endosurgery, Inc.$30K$15K$15K30.6%
33BLFSDBiolife Solutions Inc. NEW$15K$15K10.6%
34CC Neuberger Principal Holdings I units, each consisting of one Class A ordinary share and one-fourth of one Redeemable Warrant (PCPL.u)$15K$15K10.6%
35DMTKDermTech, Inc.$30K$15K$15K30.6%
36NVIGFNavigator Holdings ltd. Ordinary Shares$15K$15K10.6%
37SPG2000081115 Simon Property group, Inc.$30K$15K$15K30.6%
38EPDEnterprise Products Partners l.P.$115K$100K$15K50.6%
39ETWO.WE2open Parent Holdings, Inc. Warrants$15K$15K10.6%
40QUMUQumu Corporation$15K$15K10.6%
41TLNDTalend S.A. - American Depositary Shares$50K$45K$5K40.2%
422000076394 Blackline, Inc. (Bl)$50K$50K$02
43HRLHormel Foods Corporation$50K$50K$02
44MRK2000081120 Merck & Company, Inc. Common Stock$100K$100K$04
45MSTR2000081089 MicroStrategy Incorporated - Class A$30K$30K$04
46PTON2000081093 Peloton Interactive, Inc.$215K$215K$010
47TRHC2000081094 Tabula Rasa HealthCare, Inc.$30K$30K$04
48SKT2000081096 Tanger Factory Outlet Centers, Inc.$50K$50K$02
49TPRTapestry, Inc.$50K$50K$02
50TSLA2000081099 Tesla, Inc.$115K$115K$06
51CCLCarnival Corporation$50K$50K$02
52RACEFerrari N.V. Common Shares$50K$50K$02
53IRBTiRobot Corporation$50K$50K$02
54PLNTPlanet Fitness, Inc.$50K$50K$02
55WPXWPX Energy, Inc.$15K$15K$02
56EGHT8x8 Inc$50K$65K-$15K3
57Viomi Technology Co., ltd - American Depositary Shares$15K-$15K1
58AOSLAlpha and Omega Semiconductor limited - Common Shares$15K-$15K1
59lumber liquidators Holdings, Inc$15K-$15K1
60POEFFPan Orient Energy Corp Ordinary Shares$15K-$15K1
61CEMI2000076353 Chembio Diagnostics, Inc.$30K-$30K2
62SJMJ.M. Smucker Company$50K$80K-$30K4
63NCLH2000081090 Norwegian Cruise line Holdings ltd. Ordinary Shares$30K-$30K2
64POSTPost Holdings, Inc.$100K$130K-$30K6
65CDNACareDx, Inc.$125K$160K-$35K12
66MAC2000081088 Macerich Company$15K$50K-$35K2
67PEPPepsico, Inc.$15K$50K-$35K2
68QSR2000081113 Restaurant Brands International Inc. Common Shares$80K$115K-$35K6
69Suncor Energy Inc. (Su)$15K$50K-$35K2
70ONTOOnto Innovation Inc.$45K-$45K3
71PLAY2000081100 Dave & Buster's Entertainment, Inc.$15K$65K-$50K3
72POOL2000081109 Pool Corporation$50K$100K-$50K3
732000076270 Blackline, Inc. (Bl)$50K-$50K1
74MDXGMiMedx group, Inc$50K-$50K1
75HNSTThe Honest Company, Inc.$50K-$50K1
76AMBRAmber Road, Inc.$50K-$50K1
77TLTiShares 20+ Year Treasury Bond ETF$50K-$50K1
78FLXNFlexion Therapeutics, Inc.$95K$155K-$60K12
79FIVN2000081125 Five9, Inc.$45K$110K-$65K8
80KKellogg Company$100K$165K-$65K6
81HOLXHologic, Inc.$65K-$65K2
82VIVOMeridian Bioscience Inc.$75K-$75K5
83APPADHeron Therapeutics, Inc.$80K-$80K3
84QDELQuidel Corporation$50K$130K-$80K5
85DASHDoorDash, Inc. Class A$100K$190K-$90K10
86INSTInstructure Holdings, Inc.$100K-$100K2
87FSLYFastly, Inc. Class A$115K-$115K3
88AMRCAmeresco, Inc. Class A$95K$240K-$145K13
89EQIX2000081082 Equinix, Inc.$75K$245K-$170K12
90EVBG2000081123 Everbridge, Inc.$100K$270K-$170K13
91OSUROraSure Technologies, Inc.$180K-$180K5
92RHT2000076220 Red Hat, Inc.$200K-$200K2
93GFN2000076289 general Finance Corporation$15K$340K-$325K8