RiskMetrics Group Inc (RISK1)

Sector:
ENERGY
Industry:
ENERGY PRODUCERS
SIC:
SERVICES-BUSINESS SERVICES, NEC
ONE CHASE MANHATTAN PLAZA NEW YORK, NY 10005

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RiskMetrics Group, Inc. provides risk management and corporate governance products and services to participants in the financial markets worldwide. It operates in two divisions, RiskMetrics and ISS. The RiskMetrics division provides multi-asset, position-based risk and wealth management solutions to global asset managers, hedge funds, banks, insurance companies, pension funds, and wealth managers. Its suite of products and services covers a range of asset classes, including equities, bonds, commodities, foreign exchange, futures, options, derivatives, structured products, interest-rate products, and credit products. This division offers RiskManager market risk system, a solution for measuring risk in their portfolios and for running sensitivity and stress test analyses; HedgePlatform, a reporting service allowing clients to measure, evaluate, and monitor the risk of their hedge fund investments; and DataMetrics, a data service that allows clients to access the market data embedded in RiskManager for use in their own proprietary or other third-party systems. It also offers CreditManager, a portfolio credit risk management system used primarily by banks to calculate economic capital, facilitate risk-based pricing, and measure risk concentrations; and WealthBench, an investment planning platform for private banks, financial advisors, brokerages, and trust companies. The ISS division offers corporate governance and specialized financial research and analysis services to institutional investors and corporations. Its financial research and analysis services provide its clients with insights into various investment criteria, including companies' environmental, social, and governance attributes; and accounting and compensation polices. This division also provides proxy research and voting, global proxy distribution services, and securities class action services.

View SEC Filings from RISK1 instead.

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Funds Holding RISK1 (via 13F filings)

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*Shares are split adjusted
*Please note that if a filer hasn't submitted a 13F filing for a quarter then the filer's shares will be listed as "Sold All"

Mutual Funds Holding RISK1 BETA

Active Schedule 13D and 13G filings

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Open Market Buys/Sells Last 60 Days

Open Market Buys (P)

none

Open Market Sells (S)

none

Exercise Derivative Conversion (M)

none

Current/Former Insiders

Insider Name Type Last Reported Shares Held Last Reported Date Filings in past year

GENERAL ATLANTIC LLC

  • 10% Owner
No longer subject to file 2010-06-01 0

TRUDEAU ROBERT

HOAG JAY C

KIMBALL RICK

DREW JOHN

REYNOLDS JON Q JR

GRIFFITH WILLIAM

  • Director
  • MAY BE PART OF 13(D) GROUPMAY BE PART OF 13(D) GROUPMAY BE PART OF 13(D) GROUPMAY BE PART OF 13(D) GROUPMAY BE PART OF 13(D) GROUPMAY BE PART OF 13(D) GROUP
No longer subject to file 2010-06-01 0

MITCHELL CHRISTOPHER

SPECTRUM EQUITY INVESTORS IV LP

SPECTRUM EQUITY INVESTORS PARALLEL IV LP

SPECTRUM IV INVESTMENT MANAGERS FUND, L.P.

  • Director
  • 10% Owner
0 2010-06-01 0

OBSTLER DAVID M CHIEF FINANCIAL OFFICER

  • Officer
No longer subject to file 2010-06-01 0

GAPSTAR LLC

  • 10% Owner
No longer subject to file 2010-06-01 0

GAPCO GMBH & CO KG

  • 10% Owner
No longer subject to file 2010-06-01 0

GAPCO MANAGEMENT GMBH

  • 10% Owner
No longer subject to file 2010-06-01 0

KERN RENE M

  • Director
No longer subject to file 2010-06-01 0

THIEKE STEVEN G

  • Director
No longer subject to file 2010-06-01 0

RENYI THOMAS A

  • Director
No longer subject to file 2010-06-01 0

NOONAN FRANK R

  • Director
No longer subject to file 2010-06-01 0

GAP COINVESTMENTS III LLC

  • 10% Owner
No longer subject to file 2010-06-01 0

GAP COINVESTMENTS IV LLC

  • 10% Owner
No longer subject to file 2010-06-01 0

HANBURY BROWN STEPHANIE

  • Director
No longer subject to file 2010-06-01 0

GENERAL ATLANTIC PARTNERS 78, L.P.

  • 10% Owner
No longer subject to file 2010-06-01 0

DUFF PHILIP N

  • Director
No longer subject to file 2010-06-01 0

MINA JORGE HEAD OF RISKMETRICS BUS.

  • Officer
No longer subject to file 2010-06-01 0

BERMAN MARC ETHAN CHIEF EXECUTIVE OFFICER

  • Officer
  • Director
No longer subject to file 2010-06-01 0

COLEMAN LOVIDA JR

  • Director
No longer subject to file 2010-06-01 0

DANIELS ERIC PRINCIPAL ACCOUNTING OFFICER

  • Officer
No longer subject to file 2010-06-01 0

PAINE LYNN SHARP

  • Director
No longer subject to file 2010-06-01 0

KJAER KNUT PRESIDENT

  • Officer
No longer subject to file 2010-06-01 0

HARVEY STEPHEN HEAD OF GOVERNANCE SERVICES

  • Officer
No longer subject to file 2010-06-01 0

MITCHELL CHRISTOPHER

  • Director
  • (SEE REMARKS)
10,843,332 2009-08-06 0

GREGG BERMAN CO-HEAD OF RISK BUS.

  • Officer
0 2009-07-21 0

LEVITT ARTHUR JR

  • Director
20,702 2009-04-20 0

LEGGETT RICHARD JR HEAD OF ISS BUSINESS

  • Officer
139,519 2008-09-15 0

TCV V LP

  • Director
5,000 2008-08-07 0

TRUDEAU ROBERT

  • Director
5,000 2008-08-07 0

GILLAN KAYLA CHIEF ADMINISTRATIVE OFFICER

  • Officer
0 2008-03-13 0

TECHNOLOGY CROSSOVER MANAGEMENT V LLC

TCV V LP

TCV MEMBER FUND L P

HOAG JAY C

KIMBALL RICK

DREW JOHN

REYNOLDS JON Q JR

GRIFFITH WILLIAM

FEINBERG HENRY

  • 10% Owner
  • MAY BE PART OF 13(G) GROUPMAY BE PART OF 13(G) GROUPMAY BE PART OF 13(G) GROUPMAY BE PART OF 13(G) GROUPMAY BE PART OF 13(G) GROUPMAY BE PART OF 13(G) GROUPMAY BE PART OF 13(G) GROUPMAY BE PART OF 13(G) GROUPMAY BE PART OF 13(G) GROUP
6,424,802 2008-01-24 0

SPECTRUM EQUITY INVESTORS IV LP

SPECTRUM EQUITY INVESTORS PARALLEL IV LP

SPECTRUM IV INVESTMENT MANAGERS FUND, L.P.

MITCHELL CHRISTOPHER D

  • Director
  • 10% Owner
13,333,332 2008-01-24 0

Insider Transactions Last 60 Days

Reporting Owners Filing Date Trans Date Trans Code Shares Share Price Acquired
Disposed
Shares Owned after D/I 10b5 Perf 1d* Perf 5d* Perf 1m* Max Gain Max Gain Days Max Loss Max Loss Days
No current insider transactions

* -

Transaction Code Definitions
Code Definition
A Grant, award or other acquisition pursuant to Rule 16b-3(d)
C Conversion of derivative security
D Disposition to the issuer of issuer equity securities pursuant to Rule 16b-3(e)
E Expiration of short derivative position
F Payment of exercise price or tax liability by delivering or withholding securities incident to the receipt, exercise or vesting of a security issued in accordance with Rule 16b-3
G Bona fide gift
H Expiration (or cancellation) of long derivative position with value received
I Discretionary transaction in accordance with Rule 16b-3(f) resulting in acquisition or disposition of issuer securities
J Other acquisition or disposition
L Small acquisition under Rule 16a-6
M Exercise or conversion of derivative security exempted pursuant to Rule 16b-3
O Exercise of out-of-the-money derivative security
P Open market or private purchase of non-derivative or derivative security
S Open market or private sale of non-derivative or derivative security
U Disposition pursuant to a tender of shares in a change of control transaction
W Acquisition or disposition by will or the laws of descent and distribution
X Exercise of in-the-money or at-the-money derivative security
Z Deposit into or withdrawal from voting trust

IBR Securities Loan Availability

Updated throughout the day, this shows the number of shares available to borrow. Data provided by Interactive Brokers

Security Date/Time Rebate Rate Fee Rate Shares Available

Current Active Short Positions

Holder Issuer Net Short Position Position Date Origin

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