THE CHILDRENS INVESTMENT MASTER FUND LTD 5.07 اسهم مودعة
ط³ظˆظ‚ ط£ط¨ظˆ ط¸ط¨ظٹ ظ„ظ„ط£ظˆط±ط§ظ‚ ط§ظ„ظ…ط§ظ„ظٹظ‘ط© – MajorShareholders
ان شاء الله بدايه الارتداد
THE CHILDRENS INVESTMENT MASTER FUND LTD 5.07 اسهم مودعة
ط³ظˆظ‚ ط£ط¨ظˆ ط¸ط¨ظٹ ظ„ظ„ط£ظˆط±ط§ظ‚ ط§ظ„ظ…ط§ظ„ظٹظ‘ط© – MajorShareholders
ان شاء الله بدايه الارتداد
Comments are closed.
The Children’s Investment Fund Management (UK) LLP (“TCI”) is a London-based asset manager founded in 2003 which manages The Children’s Investment Master Fund. TCI makes long-term investments in companies globally. The management company is authorized and regulated in the United Kingdom by the Financial Services Authority. A portion of TCI’s profits go to The Children’s Investment Fund Foundation, a non-profit organization focused on improving the lives of children living in poverty in developing countries.
This release is for general informational purposes only. It does not have regard to the specific investment objective, financial situation, suitability, or the particular need of any specific person who may view it, and should not be taken as advice on the merits of any investment decision. The views expressed herein represent the opinions of The Children’s Investment Fund Management (UK) LLP (collectively with the funds and accounts under their management, “TCI”), and are based on or derived from publicly available information and third-party reports with respect to CSX Corp. (“the Issuer”).
TCI has not sought or obtained consent from any third party to use any statements or information as having been obtained or derived from statements made or published by third parties. Any such statements or information should not be viewed as indicating the support of such third party for the views expressed herein. No warranty is made that data or information, whether derived or obtained from publicly available sources or from any third-party, are accurate.
TCI shall not be responsible or have any liability for any misinformation contained in any publicly available sources or third party report. There is no assurance or guarantee with respect to the prices at which any securities of the Issuer will trade, and such securities may not trade at prices that may be implied from this letter. Any estimates, projections and pro forma information set forth are based on assumptions that TCI believes to be reasonable, but there can be no assurance or guarantee that actual results or performance of the Issuer will not differ, and such differences may be material. TCI does not recommend the purchase or sale of any security.
Under no circumstances is this letter to be used or considered an offer to sell or a solicitation of an offer to buy any security. TCI currently holds shares of common stock of the Issuer. TCI manages funds and accounts that are in the business of buying and selling public securities. It is possible that there will be developments in the future that cause TCI from time to time to sell all or a portion of its shares in open market transactions or otherwise (including via short sales), buy additional shares (in open market or privately negotiated transactions or otherwise), or trade in options, puts, calls or other derivative instruments relating to such shares.
اخوي ممكن كانت نسبتهم 4.99 % وبالتالي لاتظهر على الموقع الا حين تكون النسبه 5% وما فوق
يعني ممكن الهم زمان بالسهم ولكن كانت نسبتهم اقل من 5%
يعني متعلقين بالسهم عالأغلب
شفتم كيف إنكم ظالمين الاجانب…
إن شاء الله ربنا يكرمهم…شكلهم بيشغلوا أموال يتامى
ومتى دخلت بنسبة 5.07 ؟ فلم يظهر إسمهم إلا اليوم …وهى نسبة قريبة من HSBC – 5.17
يارب ما يطلعوا عيال (يهال)…