Adams Street Partners, LLC

CIK 1193586 · View on SEC EDGAR ↗

Insider Activist

First SEC filing: Aug. 3, 2021 · Latest: Feb. 5, 2026

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Institution

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Insider at

Insider transactions

0 buys (P) 0 sells (S) Net: $0 + 77 non-open-market transactions below last 12 months, based on the transactions shown below

Price change vs current quote, split-adjusted for corporate actions since the filing — not benchmarked, not annualized, not size-weighted

77 other filings hidden
Date Ticker Code Shares Price Value Owned after Δ own A/D vs now
Aug. 2, 2021 1193586 P 12,368 $15.00 $185,520 256,783 Indirect +5.06% Acquired
Aug. 2, 2021 1193586 P 26,604 $15.00 $399,060 552,333 Indirect +5.06% Acquired
Aug. 2, 2021 1193586 P 46,381 $15.00 $695,715 962,939 Indirect +5.06% Acquired
Aug. 2, 2021 1193586 P 47,981 $15.00 $719,715 996,169 Indirect +5.06% Acquired
March 9, 2021 RMNI S 40,911 $7.37 $301,514 4,267,067 Indirect -0.95% Disposed -30.5% (price as of 2026-08-21)
March 9, 2021 RMNI S 46,695 $7.37 $344,142 4,870,262 Indirect -0.95% Disposed -30.5% (price as of 2026-08-21)
March 9, 2021 RMNI S 41,426 $7.37 $305,310 4,320,786 Indirect -0.95% Disposed -30.5% (price as of 2026-08-21)
Dec. 24, 2020 1193586 S 1,584 $12.32 $19,515 1,457,115 Indirect -0.11% Disposed
Dec. 24, 2020 1193586 S 681 $12.32 $8,390 626,000 Indirect -0.11% Disposed
Dec. 24, 2020 1193586 S 455 $12.32 $5,606 418,190 Indirect -0.11% Disposed
Dec. 24, 2020 1193586 S 469 $12.32 $5,778 431,117 Indirect -0.11% Disposed
Dec. 24, 2020 1193586 S 611 $12.32 $7,528 561,634 Indirect -0.11% Disposed
Dec. 23, 2020 1193586 S 547 $12.39 $6,777 418,645 Indirect -0.13% Disposed
Dec. 23, 2020 1193586 S 564 $12.39 $6,988 431,586 Indirect -0.13% Disposed
Dec. 23, 2020 1193586 S 1,905 $12.39 $23,603 1,458,699 Indirect -0.13% Disposed
Dec. 23, 2020 1193586 S 819 $12.39 $10,147 626,681 Indirect -0.13% Disposed
Dec. 23, 2020 1193586 S 734 $12.39 $9,094 562,245 Indirect -0.13% Disposed
Jan. 10, 2020 1193586 P 120,453 $3.00 $361,359 504,708 Indirect +31.35% Acquired
Jan. 10, 2020 1193586 P 349,806 $3.00 $1,049,418 1,465,716 Indirect +31.35% Acquired
Jan. 10, 2020 1193586 P 104,942 $3.00 $314,826 439,714 Indirect +31.35% Acquired
Jan. 10, 2020 1193586 P 156,920 $3.00 $470,760 711,151 Indirect +28.31% Acquired
Jan. 10, 2020 1193586 P 115,367 $3.00 $346,101 522,837 Indirect +28.31% Acquired
Jan. 10, 2020 1193586 P 152,512 $3.00 $457,536 691,176 Indirect +28.31% Acquired

Showing latest 100 of 406 transactions

P = Open-market purchase · S = Sale · A = Grant/award · M = Option exercise · G = Gift · F = Tax withholding

Insider transactions are not a recommendation; sales are often driven by liquidity or tax reasons.

Derivative holdings (Form 4 Table II)

Options, RSUs and convertible securities reported on Form 4 Table II.

Date Ticker Security Underlying Exercise price Expiration Shares A/D
June 4, 2025 RMNI Restricted Stock Unit Common Stock (55,727) 55,727 Acquired
June 3, 2025 RMNI Restricted Stock Unit Common Stock (65,335) 65,335 Disposed
June 6, 2024 RMNI Restricted Stock Unit Common Stock (65,335) 65,335 Acquired
June 5, 2024 RMNI Restricted Stock Unit Common Stock (40,178) 40,178 Disposed
June 7, 2023 RMNI Restricted Stock Unit Common Stock (40,178) 40,178 Acquired
June 6, 2023 RMNI Restricted Stock Unit Common Stock (45,918) 45,918 Disposed
March 28, 2023 RMNI Restricted Stock Units Common Stock 45,918 Acquired
Aug. 11, 2022 CRVS Stock Option (Right to Buy) Common Stock (15,000) $0.96 Aug. 11, 2032 15,000 Acquired
June 1, 2022 RMNI Restricted Stock Unit Common Stock (27,522) 27,522 Acquired
May 31, 2022 RMNI Restricted Stock Unit Common Stock (27,565) 27,565 Disposed
Sept. 9, 2021 CRVS Stock Option (Right to Buy) Common Stock (15,000) $2.60 Sept. 9, 2021 15,000 Acquired
Aug. 2, 2021 1193586 Series B-1 Preferred Stock Common Stock (19,186) $0.00 79,734 Disposed
Aug. 2, 2021 1193586 Series B-1 Preferred Stock Common Stock (41,269) $0.00 171,505 Disposed
Aug. 2, 2021 1193586 Series B-1 Preferred Stock Common Stock (27,635) $0.00 114,843 Disposed
Aug. 2, 2021 1193586 Series B-1 Preferred Stock Common Stock (21,362) $0.00 88,775 Disposed
Aug. 2, 2021 1193586 Series B-1 Preferred Stock Common Stock (71,950) $0.00 299,003 Disposed
Aug. 2, 2021 1193586 Series B-1 Preferred Stock Common Stock (74,432) $0.00 309,321 Disposed
Aug. 2, 2021 1193586 Series A-1 Preferred Stock Common Stock (225,229) $0.00 935,985 Disposed
Aug. 2, 2021 1193586 Series A-1 Preferred Stock Common Stock (484,459) $0.00 2,013,269 Disposed
Aug. 2, 2021 1193586 Series A-1 Preferred Stock Common Stock (324,402) $0.00 1,348,119 Disposed
Aug. 2, 2021 1193586 Series A-1 Preferred Stock Common Stock (250,768) $0.00 1,042,120 Disposed
Aug. 2, 2021 1193586 Series A-1 Preferred Stock Common Stock (844,608) $0.00 3,509,939 Disposed
Aug. 2, 2021 1193586 Series A-1 Preferred Stock Common Stock (873,755) $0.00 3,631,066 Disposed
June 15, 2021 CRVS Stock Option (Right to Buy) Common Stock (15,000) $2.74 June 15, 2031 15,000 Acquired
June 2, 2021 RMNI Restricted Stock Unit Common Stock (27,565) 27,565 Acquired
June 2, 2021 RMNI Restricted Stock Unit Common Stock (16,375) 16,375 Disposed
Jan. 4, 2021 RMNI Restricted Stock Unit Common Stock (16,375) 16,375 Acquired
Jan. 2, 2021 RMNI Restricted Stock Unit Common Stock (38,167) 38,167 Disposed
Sept. 30, 2020 1193586 Stock Option (Right to Buy) Common Stock (4,623) $3.38 Sept. 29, 2030 4,623 Acquired
June 30, 2020 1193586 Class B Preferred Shares Common Shares (419,148) 2,237,832 Disposed
June 30, 2020 1193586 Class B Preferred Shares Common Shares (180,072) 961,412 Disposed
June 30, 2020 1193586 Class B Preferred Shares Common Shares (120,294) 642,260 Disposed
June 30, 2020 1193586 Class B Preferred Shares Common Shares (124,013) 662,111 Disposed
June 30, 2020 1193586 Class B Preferred Shares Common Shares (161,556) 862,558 Disposed
June 30, 2020 1193586 Class A Preferred Shares Common Shares (1,041,456) 5,560,341 Disposed
June 30, 2020 1193586 Class A Preferred Shares Common Shares (447,428) 2,388,822 Disposed
June 30, 2020 1193586 Class A Preferred Shares Common Shares (298,898) 1,595,823 Disposed
June 30, 2020 1193586 Class A Preferred Shares Common Shares (308,137) 1,645,147 Disposed
June 30, 2020 1193586 Class A Preferred Shares Common Shares (401,423) 2,143,200 Disposed
June 30, 2020 1193586 Stock Option (Right to Buy) Common Stock (3,735) $4.17 June 29, 2030 3,735 Acquired
June 9, 2020 CRVS Stock Option (Right to Buy) Common Stock (15,000) $3.27 June 9, 2030 15,000 Acquired
June 3, 2020 RMNI Restricted Stock Unit Common Stock (38,167) 38,167 Disposed
March 31, 2020 1193586 Stock Option (Right to Buy) Common Stock (7,374) $2.16 March 30, 2030 7,374 Acquired
March 19, 2020 CRVS Stock Option (Right to Buy) Common Stock (15,000) $2.00 March 19, 2030 15,000 Acquired
Jan. 2, 2020 RMNI Restricted Stock Unit Common Stock (27,829) 27,829 Disposed
Dec. 31, 2019 1193586 Stock Option (Right to Buy) Common Stock (4,668) $3.42 Dec. 30, 2029 4,668 Acquired
Sept. 30, 2019 1193586 Stock Option (Right to Buy) Common Stock (4,802) $3.49 Sept. 29, 2029 4,802 Acquired
June 28, 2019 1193586 Stock Option (Right to Buy) Common Stock (5,046) $3.34 June 27, 2029 5,046 Acquired
June 20, 2019 CRVS Stock Option (Right to Buy) Common Stock (15,000) $3.61 June 20, 2029 15,000 Acquired
March 29, 2019 1193586 Stock Option (Right to Buy) Common Stock (4,123) $4.05 March 28, 2029 4,123 Acquired
Feb. 6, 2019 RMNI Restricted Stock Unit Common Stock (11,627) 11,627 Disposed
Jan. 2, 2019 RMNI Restricted Stock Unit Common Stock (27,829) 27,829 Acquired
July 19, 2018 RMNI Series A Redeemable Convertible Preferred Stock Common Stock 1,905 Acquired
July 19, 2018 RMNI Series A Redeemable Convertible Preferred Stock Common Stock 1,668 Acquired
July 19, 2018 RMNI Series A Redeemable Convertible Preferred Stock Common Stock 13,947 Acquired
July 19, 2018 RMNI Series A Redeemable Convertible Preferred Stock Common Stock 1,689 Acquired
June 25, 2018 1193586 Series B Convertible Preferred Stock Common Stock (278,290) 7,676,955 Disposed
June 25, 2018 1193586 Series A-2 Convertible Preferred Stock Common Stock (418,745) 11,551,579 Disposed
June 25, 2018 1193586 Series A-1 Convertible Preferred Stock Common Stock (366,404) 10,107,719 Disposed
June 25, 2018 1193586 Series B Convertible Preferred Stock Common Stock (83,487) 2,303,087 Disposed
June 25, 2018 1193586 Series A-2 Convertible Preferred Stock Common Stock (125,623) 3,465,474 Disposed
June 25, 2018 1193586 Series A-1 Convertible Preferred Stock Common Stock (109,921) 3,032,316 Disposed
June 25, 2018 1193586 Series B Convertible Preferred Stock Common Stock (95,827) 2,643,505 Disposed
June 25, 2018 1193586 Series A-2 Convertible Preferred Stock Common Stock (144,192) 3,977,704 Disposed
June 25, 2018 1193586 Series A-1 Convertible Preferred Stock Common Stock (126,168) 3,480,521 Disposed
June 25, 2018 1193586 Series B Convertible Preferred Stock Common Stock (124,838) 3,443,798 Disposed
June 25, 2018 1193586 Series A-2 Convertible Preferred Stock Common Stock (187,844) 5,181,913 Disposed
June 25, 2018 1193586 Series A-1 Convertible Preferred Stock Common Stock (164,365) 4,534,213 Disposed
June 25, 2018 1193586 Series B Convertible Preferred Stock Common Stock (91,781) 2,531,884 Disposed
June 25, 2018 1193586 Series A-2 Convertible Preferred Stock Common Stock (138,103) 3,809,747 Disposed
June 25, 2018 1193586 Series A-1 Convertible Preferred Stock Common Stock (120,841) 3,333,558 Disposed
June 25, 2018 1193586 Series B Convertible Preferred Stock Common Stock (121,331) 3,347,072 Disposed
June 25, 2018 1193586 Series A-2 Convertible Preferred Stock Common Stock (182,568) 5,036,369 Disposed
June 25, 2018 1193586 Series A-1 Convertible Preferred Stock Common Stock (159,749) 4,406,861 Disposed
June 21, 2018 CRVS Stock Option (Right to Buy) Common Stock (15,000) $12.50 June 21, 2028 15,000 Acquired
Feb. 6, 2018 RMNI Restricted Stock Units Common Stock (11,627) 11,627 Acquired
June 8, 2017 CRVS Stock Option (Right to Buy) Common Stock (15,000) $9.70 June 8, 2027 15,000 Acquired
June 9, 2016 QTWO Stock Option (Right to Buy) Common Stock (4,486) $27.86 June 9, 2023 4,486 Acquired
June 9, 2016 QTWO Stock Option (Right to Buy) Common Stock (4,486) $27.86 June 9, 2023 4,486 Acquired
March 29, 2016 CRVS Series B Convertible Preferred Stock Common Stock (97,746) 97,746 Disposed
March 29, 2016 CRVS Series A Convertible Preferred Stock Common Stock (583,510) 583,510 Disposed
March 29, 2016 CRVS Series B Convertible Preferred Stock Common Stock (71,863) 71,863 Disposed
March 29, 2016 CRVS Series A Convertible Preferred Stock Common Stock (428,998) 428,998 Disposed
March 29, 2016 CRVS Series B Convertible Preferred Stock Common Stock (95,001) 95,001 Disposed
March 29, 2016 CRVS Series A Convertible Preferred Stock Common Stock (567,121) 567,121 Disposed
March 29, 2016 CRVS Series B Convertible Preferred Stock Common Stock (92,278) 92,278 Disposed
March 29, 2016 CRVS Series A Convertible Preferred Stock Common Stock (550,864) 550,864 Disposed
March 22, 2016 CRVS Stock Option (Right to Buy) Common Stock (30,000) $15.00 March 22, 2026 30,000 Acquired
June 9, 2015 QTWO Stock Option (right to buy) Common Stock (5,022) $24.89 June 9, 2025 5,022 Acquired
March 26, 2014 1193586 Series A Convertible Preferred Stock Common Stock (53,781) 26,291 Disposed
March 26, 2014 1193586 Series C Convertible Preferred Stock Common Stock (1,250,406) 2,088,179 Disposed
March 26, 2014 1193586 Series D Convertible Preferred Stock Common Stock (1,181,742) 1,973,509 Disposed
March 26, 2014 1193586 Series E Convertible Preferred Stock Common Stock (277,497) 463,420 Disposed
March 26, 2014 1193586 Series A Convertible Preferred Stock Common Stock (53,781) 26,291 Disposed
March 26, 2014 1193586 Series C Convertible Preferred Stock Common Stock (1,250,406) 2,088,179 Disposed
March 26, 2014 1193586 Series D Convertible Preferred Stock Common Stock (1,181,742) 1,973,509 Disposed
March 26, 2014 1193586 Series E Convertible Preferred Stock Common Stock (277,497) 463,420 Disposed
March 25, 2014 QTWO Junior Preferred Stock Common Stock (25,673) 25,673 Disposed
March 25, 2014 QTWO Junior Preferred Stock Common Stock (22,206) 22,206 Disposed
March 25, 2014 QTWO Junior Preferred Stock Common Stock (12,614) 12,614 Disposed

Showing latest 100 of 131 transactions

Exercise/conversion price is blank when not applicable (e.g. RSUs).

Initial ownership (Form 3) 78 holdings

Securities held when first becoming an insider, per SEC Form 3.

Date Ticker Security Shares Ownership
Oct. 24, 2017 RMNI Common Stock 4,371,271 Indirect
Oct. 24, 2017 RMNI Common Stock 4,927,144 Indirect
Oct. 24, 2017 RMNI Common Stock 4,316,925 Indirect
Oct. 24, 2017 RMNI Common Stock 1,294,343 Indirect
Oct. 24, 2017 RMNI Common Stock 1,760,531 Indirect
Oct. 24, 2017 RMNI Common Stock 1,351,405 Indirect
Oct. 24, 2017 RMNI Common Stock 1,334,361 Indirect
Oct. 24, 2017 RMNI Common Stock 3,924,594 Indirect
Oct. 24, 2017 RMNI Stock Option (Right to buy)→ Common Stock (119,706) 119,706 Indirect
Oct. 24, 2017 RMNI Stock Option (Right to buy)→ Common Stock (17,655) 17,655 Indirect
Oct. 20, 2017 RMNI Common Stock 17,868,509 Indirect
Oct. 20, 2017 RMNI Common Stock 20,140,754 Indirect
Oct. 20, 2017 RMNI Common Stock 17,646,358 Indirect
Oct. 20, 2017 RMNI Common Stock 5,290,907 Indirect
Oct. 20, 2017 RMNI Common Stock 7,196,546 Indirect
Oct. 20, 2017 RMNI Common Stock 5,524,162 Indirect
Oct. 20, 2017 RMNI Common Stock 5,454,491 Indirect
Oct. 20, 2017 RMNI Common Stock 16,042,620 Indirect
Oct. 20, 2017 RMNI Stock Option (Right to buy)→ Common Stock (119,700) 119,700 Indirect
Oct. 20, 2017 RMNI Stock Option (Right to buy)→ Common Stock (17,654) 17,654 Indirect
March 22, 2016 CRVS Series A Convertible Preferred Stock→ Common Stock (550,864) 550,864 Indirect
March 22, 2016 CRVS Series A Convertible Preferred Stock→ Common Stock (567,121) 567,121 Indirect
March 22, 2016 CRVS Series A Convertible Preferred Stock→ Common Stock (428,998) 428,998 Indirect
March 22, 2016 CRVS Series A Convertible Preferred Stock→ Common Stock (583,510) 583,510 Indirect
March 22, 2016 CRVS Series B Convertible Preferred Stock→ Common Stock (92,278) 92,278 Indirect
March 22, 2016 CRVS Series B Convertible Preferred Stock→ Common Stock (95,001) 95,001 Indirect
March 22, 2016 CRVS Series B Convertible Preferred Stock→ Common Stock (71,863) 71,863 Indirect
March 22, 2016 CRVS Series B Convertible Preferred Stock→ Common Stock (97,746) 97,746 Indirect
April 3, 2014 FIVN Common Stock 2,584,821 Indirect
April 3, 2014 FIVN Common Stock 2,235,689 Indirect
April 3, 2014 FIVN Common Stock 1,269,991 Indirect
April 3, 2014 FIVN Common Stock 1,084,176 Indirect
March 19, 2014 QTWO Common Stock 37,383 Indirect
March 19, 2014 QTWO Common Stock 42,217 Indirect
March 19, 2014 QTWO Common Stock 321,346 Indirect
March 19, 2014 QTWO Common Stock 277,942 Indirect
March 19, 2014 QTWO Common Stock 157,887 Indirect
March 19, 2014 QTWO Common Stock 126,846 Indirect
March 19, 2014 QTWO Junior Preferred Stock→ Common Stock (25,673) 25,673 Indirect
March 19, 2014 QTWO Junior Preferred Stock→ Common Stock (22,206) 22,206 Indirect
March 19, 2014 QTWO Junior Preferred Stock→ Common Stock (12,614) 12,614 Indirect
March 19, 2014 QTWO Junior Preferred Stock→ Common Stock (10,134) 10,134 Indirect
March 19, 2014 QTWO Series A Preferred Stock→ Common Stock (2,780,677) 2,780,677 Indirect
March 19, 2014 QTWO Series A Preferred Stock→ Common Stock (3,140,150) 3,140,150 Indirect
March 19, 2014 QTWO Series A Preferred Stock→ Common Stock (225,496) 225,496 Indirect
March 19, 2014 QTWO Series A Preferred Stock→ Common Stock (195,037) 195,037 Indirect
March 19, 2014 QTWO Series A Preferred Stock→ Common Stock (110,792) 110,792 Indirect
March 19, 2014 QTWO Series A Preferred Stock→ Common Stock (89,010) 89,010 Indirect
March 19, 2014 QTWO Series B Preferred Stock→ Common Stock (231,030) 231,030 Indirect
March 19, 2014 QTWO Series B Preferred Stock→ Common Stock (260,896) 260,896 Indirect