OVERSEAS SHIPHOLDING GROUP, INC.
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(Name of Issuer)
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Class A Common Stock (par value $0.01 per share)
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(Title of Class of Securities)
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69036R 103
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(CUSIP Number)
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James A. McRobbie
CF Partners Capital Management LLP
80 Hammersmith Road, 4th Floor
London, United Kingdom
W14 8UD
+44 20 7348 3500
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(Name, Address and Telephone Number of Person
Authorized to Receive Notices and Communications)
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March 9, 2020
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(Date of Event which Requires Filing of this Statement)
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CUSIP No. 018490102
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Page 2 of 5 Pages
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1
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NAMES OF REPORTING PERSONS
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CF Partners Capital Management LLP
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2
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CHECK THE APPROPRIATE BOX IF A MEMBER OF A GROUP
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(a)
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☐
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(b)
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☒
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3
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SEC USE ONLY
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4
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SOURCE OF FUNDS (See Instructions)
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AF / OO
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5
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CHECK BOX IF DISCLOSURE OF LEGAL PROCEEDINGS IS REQUIRED PURSUANT TO ITEMS 2(d) or 2(e)
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☐
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6
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CITIZENSHIP OR PLACE OF ORGANIZATION
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England and Wales
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NUMBER OF SHARES BENEFICIALLY OWNED BY EACH REPORTING PERSON WITH
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7
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SOLE VOTING POWER
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0
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8
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SHARED VOTING POWER
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4,457,151
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9
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SOLE DISPOSITIVE POWER
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0
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10
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SHARED DISPOSITIVE POWER
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4,457,151
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11
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AGGREGATE AMOUNT BENEFICIALLY OWNED BY EACH REPORTING PERSON
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4,457,151
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12
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CHECK BOX IF THE AGGREGATE AMOUNT IN ROW (11) EXCLUDES CERTAIN SHARES (See Instructions)
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☐
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13
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PERCENT OF CLASS REPRESENTED BY AMOUNT IN ROW (11)
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5.20%(1)
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14
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TYPE OF REPORTING PERSON (See Instructions)
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OO, IA
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(1) |
Calculated based on 85,675,594 shares of Class A common stock, $0.01 par value, of Overseas Shipholding Group, Inc., outstanding as of November 6, 2019, as
reported in Overseas Shipholding Group, Inc.’s Quarterly Report on Form 10-Q, as filed with the Securities and Exchange Commission on November 8, 2019.
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CUSIP No. 018490102
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Page 3 of 5 Pages
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Exhibit 99.1
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Trading Data of the Reporting Person.
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CUSIP No. 018490102
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Page 4 of 5 Pages
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CF Partners Capital Management LLP
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By:
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/s/ James A. McRobbie
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Name:
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James A. McRobbie
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Title:
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Chief Compliance Officer
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CUSIP No. 018490102
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Page 5 of 5 Pages
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Exhibit
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Description
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Exhibit 99.1
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Trading Data of the Reporting Person.
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Date
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Buyer / Seller
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Shares of Class A Common Stock Purchased
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Shares of Class A Common Stock Sold
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Price Per Share
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4/12/2019
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Controlled Account
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100,000
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1.75
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4/12/2019
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Fund
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100,000
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1.75
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4/15/2019
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Controlled Account
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31,910
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2.16
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4/15/2019
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Fund
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8,090
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2.16
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4/16/2019
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Controlled Account
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39,888
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2.10
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4/16/2019
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Fund
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10,112
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2.10
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4/17/2019
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Controlled Account
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19,944
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2.11
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4/17/2019
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Fund
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5,056
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2.11
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4/18/2019
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Controlled Account
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35,899
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2.06
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4/18/2019
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Fund
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9,101
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2.06
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4/22/2019
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Controlled Account
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15,955
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2.03
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4/22/2019
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Fund
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4,045
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2.03
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4/23/2019
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Controlled Account
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30,000
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3.00
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4/24/2019
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Controlled Account
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19,944
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2.03
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4/24/2019
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Fund
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5,056
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2.03
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4/25/2019
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Controlled Account
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23,933
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1.98
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4/25/2019
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Fund
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6,067
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1.98
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4/29/2019
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Controlled Account
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27,921
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1.90
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4/29/2019
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Fund
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7,079
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1.90
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4/30/2019
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Controlled Account
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47,865
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1.83
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4/30/2019
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Fund
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12,135
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1.83
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5/16/2019
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Controlled Account
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25,000
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1.82
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5/20/2019
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Controlled Account
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20,000
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1.89
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5/21/2019
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Controlled Account
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20,000
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1.83
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5/22/2019
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Controlled Account
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40,000
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1.82
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5/23/2019
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Controlled Account
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40,000
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1.71
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5/24/2019
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Controlled Account
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20,000
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1.70
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5/28/2019
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Controlled Account
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35,000
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1.63
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5/29/2019
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Controlled Account
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40,000
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1.53
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8/5/2019
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Controlled Account
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20,175
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1.86
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8/5/2019
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Fund
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4,825
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1.86
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8/14/2019
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Controlled Account
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64,740
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1.59
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8/14/2019
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Fund
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64,740
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1.59
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8/14/2019
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Controlled Account
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2,522
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1.54
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8/14/2019
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Fund
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797
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1.54
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8/20/2019
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Controlled Account
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4,058
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1.70
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8/20/2019
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Fund
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4,058
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1.70
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8/21/2019
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Controlled Account
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5,000
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1.74
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8/21/2019
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Fund
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5,000
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1.74
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8/27/2019
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Controlled Account
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12,000
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1.63
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8/27/2019
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Fund
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12,000
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1.63
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8/29/2019
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Controlled Account
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20,290
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1.63
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8/29/2019
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Fund
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20,290
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1.63
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9/17/2019
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Controlled Account
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16,800
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1.75
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9/17/2019
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Fund
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16,800
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1.75
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9/19/2019
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Controlled Account
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150,000
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1.81
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9/25/2019
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Controlled Account
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21,000
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1.77
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9/25/2019
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Fund
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4,000
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1.77
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9/26/2019
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Controlled Account
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21,000
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1.74
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9/26/2019
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Fund
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4,000
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1.74
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9/27/2019
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Controlled Account
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15,873
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1.74
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9/27/2019
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Fund
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3,024
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1.74
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9/30/2019
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Controlled Account
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42,000
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1.76
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9/30/2019
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Fund
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8,000
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1.76
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11/4/2019
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Fund
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10,112
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2.24
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11/4/2019
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Controlled Account
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39,888
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2.24
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11/25/2019
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Controlled Account
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100,000
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1.78
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11/25/2019
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Fund
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100,000
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1.78
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11/26/2019
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Controlled Account
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100,000
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1.76
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11/26/2019
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Fund
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100,000
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1.76
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11/27/2019
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Controlled Account
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100,000
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1.75
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11/27/2019
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Fund
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100,000
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1.75
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12/4/2019
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Fund
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15,169
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2.18
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12/4/2019
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Controlled Account
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59,831
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2.18
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12/19/2019
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Controlled Account
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662,519
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2.41
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12/19/2019
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Fund
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662,519
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2.41
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1/23/2020
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Controlled Account
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25,000
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2.03
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1/24/2020
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Controlled Account
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20,000
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1.92
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1/27/2020
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Controlled Account
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10,000
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1.86
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1/30/2020
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Controlled Account
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4,500
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1.81
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2/3/2020
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Controlled Account
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2,300
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1.73
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2/20/2020
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Controlled Account
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5,000
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2.02
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2/24/2020
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Controlled Account
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5,000
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1.86
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2/27/2020
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Controlled Account
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3,800
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1.68
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2/28/2020
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Controlled Account
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10,000
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1.71
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3/3/2020
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Controlled Account
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50,000
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1.89
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3/4/2020
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Controlled Account
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49,175
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1.93
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3/5/2020
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Controlled Account
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1,465,915
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2.41
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3/6/2020
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Controlled Account
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50,000
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2.25
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3/9/2020
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Controlled Account
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2,743,676
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2.37
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