Discover the full record of transactions filed by GOLDENTREE ASSET MANAGEMENT LP, Board Member / Nominating Stockholder Representative. Officer active across 3 companies, notably Thryv Holdings, Inc.. Cumulatively, 115 filings have been recorded. Total volume traded: €287.8m. The latest transaction was disclosed on 5 April 2022 — Cession. Regulator: SEC (Form 4). All data is openly available.
25 of 115 declarations
GoldenTree Asset Management LP is an asset manager whose governance footprint in U.S.-listed companies has primarily been exercised through shareholder agreements, nomination rights, and board representation. In the public filings reviewed, GoldenTree appears as a party to stockholder agreements with Thryv Holdings, Inc., where affiliated entities were granted nomination rights in connection with Thryv’s direct listing in 2020. SEC materials also show a longstanding involvement with Eagle Bulk Shipping Inc., including a nominating agreement and related filings tied to governance and bank-debt matters. ([sec.gov](https://www.sec.gov/Archives/edgar/data/1556739/000114036124022894/ny20022154x1_def14a.htm?utm_source=openai)) From an industry perspective, GoldenTree has also been identified as a significant investor in California Resources Corp. in regulatory filings, underscoring its presence as an active institutional holder in U.S. public equities. That profile is consistent with an investment approach focused on capital structure expertise, shareholder engagement, and long-term value creation rather than day-to-day operating management. ([sec.gov](https://www.sec.gov/Archives/edgar/data/1609253/000156459021016666/crc-def14a_20210512.htm?utm_source=openai)) As for career path and company leadership, the public sources reviewed do not support a reliable identification of a single named executive as the definitive current or recent face of GoldenTree in these holdings. It is therefore more accurate to describe GoldenTree as an institutional governance participant than as an operating executive. The available record suggests expertise in credit investing, capital markets, and shareholder-agreement structuring, with influence expressed through board nominations, investor-company negotiations, and governance oversight. Because there is not enough verified biographical detail to safely attribute specific roles, companies led, or notable decisions to an individual without risking invention, the description is kept deliberately general. ([sec.gov](https://www.sec.gov/Archives/edgar/data/1556739/000114036124022894/ny20022154x1_def14a.htm?utm_source=openai))