S |
2017-02-21 16:28:26.0 |
OUTERWALL INC |
OUTR |
Park West Asset Management LLC |
0.0% |
view |
B |
2016-09-30 16:24:55.0 |
OUTERWALL INC |
OUTR |
GARDNER LEWIS ASSET MANAGEMENT L P |
14.0% |
view |
B |
2016-09-12 14:41:10.0 |
OUTERWALL INC |
OUTR |
GARDNER LEWIS ASSET MANAGEMENT L P |
5.2% |
view |
B |
2016-04-11 17:04:21.0 |
OUTERWALL INC |
OUTR |
Raging Capital Management |
0.0% |
view |
S |
2016-02-16 16:35:02.0 |
OUTERWALL INC |
OUTR |
Park West Asset Management LLC |
5.5% |
view |
B |
2015-10-26 16:51:55.0 |
OUTERWALL INC |
OUTR |
Park West Asset Management LLC |
10.1% |
view |
B |
2015-09-11 16:30:22.0 |
OUTERWALL INC |
OUTR |
Park West Asset Management LLC |
5.2% |
view |
S |
2015-02-17 16:11:58.0 |
OUTERWALL INC |
OUTR |
Park West Asset Management LLC |
1.0% |
view |
B |
2014-02-12 16:59:24.0 |
OUTERWALL INC |
OUTR |
Park West Asset Management LLC |
6.0% |
view |
S |
2014-02-12 16:53:25.0 |
OUTERWALL INC |
OUTR |
Park West Asset Management LLC |
3.2% |
view |
S |
2013-08-12 10:36:28.0 |
OUTERWALL INC |
OUTR |
GOLDMAN SACHS ASSET MANAGEMENT LP |
1.4% |
view |
B |
2013-03-18 16:30:33.0 |
COINSTAR INC |
CSTR |
Park West Asset Management LLC |
5.1% |
view |
S |
2013-02-14 11:28:08.0 |
COINSTAR INC |
CSTR |
GOLDMAN SACHS ASSET MANAGEMENT LP |
9.5% |
view |
S |
2012-02-14 13:08:13.0 |
COINSTAR INC |
CSTR |
KINGDON CAPITAL MANAGEMENT LLC |
0.0% |
view |
S |
2012-02-10 13:58:31.0 |
COINSTAR INC |
CSTR |
GOLDMAN SACHS ASSET MANAGEMENT LP |
10.0% |
view |
B |
2011-07-11 16:50:45.0 |
COINSTAR INC |
CSTR |
GOLDMAN SACHS ASSET MANAGEMENT LP |
12.3% |
view |
B |
2011-02-11 17:42:51.0 |
COINSTAR INC |
CSTR |
GOLDMAN SACHS ASSET MANAGEMENT LP |
7.5% |
view |
S |
2011-02-09 11:57:05.0 |
COINSTAR INC |
CSTR |
RS INVESTMENT MANAGEMENT CO LLC |
0.0% |
view |
B |
2010-11-05 17:15:56.0 |
COINSTAR INC |
CSTR |
KINGDON CAPITAL MANAGEMENT LLC |
5.15% |
view |
S |
2010-06-08 11:59:31.0 |
COINSTAR INC |
CSTR |
RS INVESTMENT MANAGEMENT CO LLC |
5.8% |
view |
B |
2010-04-23 17:16:23.0 |
COINSTAR INC |
CSTR |
Shamrock Activist Value Fund L P |
0.31% |
view |