Disclosure 22387
Publication date:
Summary
Issuer | ESGTI AG |
---|---|
Reason for disclosing | Erstmalige Kotierung |
Basis of calculation | 25’985’369 |
Purchase positions | 1’753’307 (6.747%) |
Sale positions | 0 (0.000%) |
Date of origination of the reporting obligation | 01.10.2021 |
Collective fund
Licensee: WP Multi-Strategy Fund, 3rd Fl Harbour Center, KY1-1102 Grand Cayman, Cayman Islands
Collective investment scheme/s
- WP Multi-Strategy Fund
Purchase positions
Namenaktien
Number | Voting rights |
---|---|
1’753’307 | 1’753’307 |