Two Sigma Investments — BE Trade History

Quarter-by-quarter changes in the BLOOM ENERGY CORP position · CUSIP 093712107
Currently held · 5 YearsFirst seen: 2019 Q3
QuarterFiledActivitySharesΔ SharesΔ %Value% Port.
2026 Q22026-08-14Reduce2,016,532-1,531,306-43.2%$610.4M0.44%
2026 Q12026-05-15Add3,547,8381,609,861+83.1%$480.7M0.39%
2025 Q42026-02-17Add1,937,977224,565+13.1%$168.4M0.24%
2025 Q32025-11-14Reduce1,713,412-2,824,558-62.2%$144.9M0.22%
2025 Q22025-08-14Reduce4,537,970-294,838-6.1%$108.5M0.19%
2025 Q12025-05-15Add4,832,8081,234,299+34.3%$95.0M0.20%
2024 Q42025-02-14Add3,598,5091,378,152+62.1%$79.9M0.17%
2024 Q32024-11-14Reduce2,220,357-864,432-28.0%$23.4M0.05%
2024 Q22024-08-14Add3,084,789627,773+25.6%$37.8M0.09%
2024 Q12024-05-15Add2,457,0161,434,998+140.4%$27.6M0.07%
2023 Q42024-02-14Reduce1,022,018-1,807,278-63.9%$15.1M0.04%
2023 Q32023-11-14Add2,829,296266,751+10.4%$37.5M0.10%
2023 Q22023-08-14Add2,562,545457,910+21.8%$41.9M0.10%
2023 Q12023-05-15Add2,104,635538,065+34.3%$41.9M0.12%
2022 Q42023-02-14Reduce1,566,570-602,940-27.8%$30.0M0.09%
2022 Q32022-11-14Add2,169,5101,641,938+311.2%$43.4M0.15%
2022 Q22022-08-15Reduce527,572-1,094,363-67.5%$8.7M0.03%
2022 Q12022-05-16Reduce1,621,935-605,684-27.2%$39.2M0.12%
2021 Q42022-02-14Add2,227,6191,205,534+117.9%$48.9M0.10%
2021 Q32021-11-15New1,022,0851,022,085$19.1M0.04%
2021 Q22021-08-16Sold out-813,448-100.0%
2021 Q12021-05-17Add813,448770,348+1787.4%$22.0M0.06%
2020 Q42021-02-16New43,10043,100$1.2M0.00%
2020 Q32020-11-16Sold out-49,260-100.0%
2020 Q22020-08-14New49,26049,260$536.0K0.00%
2020 Q12020-05-15Sold out-195,400-100.0%
2019 Q42020-02-14Reduce195,400-394,129-66.9%$1.5M0.00%
2019 Q32019-11-14New589,529589,529$1.9M0.01%
2019 Q22019-08-14
2019 Q12019-05-15
2018 Q42019-02-14
2018 Q32018-11-14
2018 Q22018-08-14
2018 Q12018-05-15
2017 Q42018-02-14
2017 Q32017-11-14
2017 Q22017-08-14
2017 Q12017-05-15
2016 Q42017-02-14
2016 Q32016-11-14

Share counts are split-adjusted. Time held counts consecutive quarters ending with the latest filing; more than ten years shows as ">10 Years".

13F data shows quarter-end positions, is delayed by up to 45 days and covers only long positions in US-listed securities; short positions, most derivatives and non-US assets are not reported.