CD Compass Diversified Holdings Stock: price and management transactions · United States · SEC (Form 4)Follow the Compass Diversified Holdings stock price and the full insider trade history of the company, a listed equity based in United States. Shares are listed on the US market, under the supervision of SEC (Form 4). Operating in the Industry sector, Compass Diversified Holdings has published 95 insider filings. The latest transaction was filed on 27 August 2026 (Acquisition). Among the most active insiders: Anholt Investments Ltd.. Every trade is openly available.
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Last declaration on 27 August 2026
All Executives95 Thresholds0 Prospectus0 Other0
Declarations 95 total
20,000 shares @ US$11.4688 Common Shares SEC:0001193125-26-371359:0
Canonical exit: 24 Nov 2026 (T+90) 17,000 shares @ US$12.4204 35.3% of flow Common Shares SEC:0001193125-26-355927:0
Canonical exit: 11 Nov 2026 (T+90) 38,051 shares @ US$13.1399 100.0% of flow Common Shares SEC:0001193125-26-355473:0
Canonical exit: 12 Nov 2026 (T+90) 67,114 shares @ US$12.4176 59.5% of flow Common Shares SEC:0001193125-26-352286:0
Canonical exit: 11 Nov 2026 (T+90) 11,881 shares @ US$12.2511 27.8% of flow Common Shares SEC:0001193125-26-352287:0
Canonical exit: 10 Nov 2026 (T+90) 25,000 shares @ US$11.9863 77.5% of flow Common Shares SEC:0001193125-26-349762:0
Canonical exit: 10 Nov 2026 (T+90) 7,000 shares @ US$12.45 22.5% of flow Common Shares SEC:0001193125-26-349762:1
Canonical exit: 11 Nov 2026 (T+90) 10,000 shares @ US$12.0143 19.0% of flow Common Shares SEC:0001193125-26-349764:0
Canonical exit: 10 Nov 2026 (T+90) 20,000 shares @ US$8.6619 33.8% of flow Common Shares SEC:0001993880-26-000002:0
Canonical exit: 5 Jul 2026 (T+90) 10,000 shares @ US$8.50 16.6% of flow Common Shares SEC:0001993880-26-000002:1
Canonical exit: 5 Jul 2026 (T+90) 1,500 shares @ US$22.00 14.4% of flow Common Shares SEC:0000950170-25-031945:0
Canonical exit: 1 Jun 2025 (T+90) 135,274 shares @ US$23.05 43.9% of flow Common SEC:0001104659-24-116987:0
5,000 shares @ US$21.87 10.0% of flow Common Shares SEC:0000950170-24-108755:0
Canonical exit: 19 Dec 2024 (T+90) 5,000 shares @ US$21.63 43.9% of flow Common Shares SEC:0000950170-24-108399:0
Canonical exit: 18 Dec 2024 (T+90) 5,000 shares @ US$20.3956 41.7% of flow Common Shares SEC:0000950170-24-105896:0
Canonical exit: 11 Dec 2024 (T+90) 19,800 shares @ US$20.1553 87.7% of flow Common Shares SEC:0000950170-24-105895:0
Canonical exit: 10 Dec 2024 (T+90) 2,000 shares @ US$20.1711 11.1% of flow Common Shares SEC:0000950170-24-092711:0
Canonical exit: 3 Nov 2024 (T+90) 69,681 shares @ US$23.021 22.2% of flow Common SEC:0001104659-24-080697:0
100,000 shares @ US$22.5451 31.3% of flow Common SEC:0001104659-24-079891:0
5,000 shares @ US$22.4373 31.5% of flow Common Shares SEC:0000950170-24-073053:0
Canonical exit: 11 Sept 2024 (T+90) 8,212 shares @ US$22.4111 29.3% of flow Common Shares SEC:0000950170-24-065887:0
Canonical exit: 26 Aug 2024 (T+90) 7,436 shares @ US$22.4089 9.3% of flow Common shares SEC:0000950170-24-065883:0
Canonical exit: 26 Aug 2024 (T+90) 7,436 shares @ US$22.4057 46.8% of flow Common Shares SEC:0000950170-24-065882:0
Canonical exit: 26 Aug 2024 (T+90) 7,436 shares @ US$22.4091 43.0% of flow Common Shares SEC:0000950170-24-065884:0
Canonical exit: 26 Aug 2024 (T+90) 7,436 shares @ US$22.4107 71.7% of flow Common Shares SEC:0000950170-24-065885:0
Canonical exit: 26 Aug 2024 (T+90) 25 of 95 declarations
Load more (70 remaining) 关于 Compass Diversified Holdings Compass Diversified Holdings (NYSE: CODI, 美国) 是一家公开上市的控股公司,专注于拥有并积极监督中型市场企业的投资组合。CODI 不作为传统的工业集团运营,而是为自主运营公司提供永久资本、战略监督和长期财务纪律。该集团总部位于康涅狄格州韦斯特波特,作为其主要行政办公室。
Compass Diversified 成立于一个旨在收购和增值差异化业务的平台,已开发出一种模式,旨在与可在多年内增长的品牌和利基工业资产建立合作关系。截至2026年5月17日,该公司将其投资组合描述为由八家子公司组成,业务范围涵盖品牌消费品业务和工业业务。过去一年的公开披露表明投资组合发生了变化,包括收购、剥离以及对财务报告补救措施的更高关注。
从行业角度来看,CODI 的优势在于拥有具有强大产品定位、可防御的利基市场和可识别的客户忠诚度的业务。其核心领域包括品牌消费品和专业工业运营。在其2024年收益发布中,该公司强调了强劲的营收表现和调整后的 EBITDA 增长,部分得益于2024年1月对 The Honey Pot Co. 的收购以及某些投资组合公司的稳健表现。2025年2月,Compass Diversified 报告2024年全年净销售额为2.2 billion美元,并强调调整后 EBITDA 持续扩张,突显了其投资组合中固有的运营杠杆。
CODI 的竞争主张建立在三大支柱之上:永久资本、积极的资本配置以及支持利基市场管理团队的能力。对于投资者而言,这意味着对消费品牌和工业资产的多元化但独特的敞口,回报由收购纪律、运营执行和投资组合构成驱动。该公司最近的历史还包括2025年的治理和报告挑战,管理层公开专注于更新财务报告并保持严格的资本配置。这些发展对投资者很重要,因为它们增加了投资案例的复杂性,并可能影响估值、流动性感知和市场信心。
在美国公开市场中,CODI 是一个在纽约证券交易所上市的名称,倾向于吸引寻求混合型特征的投资者:部分是控股公司,部分是积极的运营商,部分是资本配置者。最近的 SEC Form 4 内部交易活动也使该股票受到市场参与者的关注,巩固了其作为备受关注的特殊情况和公司治理故事的地位。