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Share Name | Share Symbol | Market | Type |
---|---|---|---|
Gramercy Property Trust (delisted) | NYSE:GPT | NYSE | Common Stock |
Price Change | % Change | Share Price | High Price | Low Price | Open Price | Shares Traded | Last Trade | |
---|---|---|---|---|---|---|---|---|
0.00 | 0.00% | 27.48 | 0 | 01:00:00 |
PROSPECTUS SUPPLEMENT
(To Prospectus dated December 22, 2015)
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|
Filed pursuant to Rule 424(b)(7)
Registration No. 333-208717
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Selling Shareholder Name
|
Common Shares Owned Prior to the Exchange
|
Maximum Number of Common Shares Issuable Upon Exchange
(1)
|
Common Shares Owned
Following the Exchange (1)(2) |
Number of Common Shares Offered
|
Common Shares Owned
After Resale (2)(3) |
||
Number
|
%
|
Number
(3)
|
%
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||||
Blackwell Partners LLC Series B
(4)
|
0
|
160,039
|
160,039
|
*
|
160,039
|
0
|
*
|
LMAP Kappa Limited
(5)
|
0
|
164,611
|
164,611
|
*
|
164,611
|
0
|
*
|
Silverback Opportunistic Credit Master Fund Limited
(6)
|
0
|
132,603
|
132,603
|
*
|
132,603
|
0
|
*
|
Basso Holdings Ltd.
(7)
|
0
|
332,835
|
332,835
|
*
|
332,835
|
0
|
*
|
CSS, LLC
(8)
|
0
|
114,313
|
114,313
|
*
|
114,313
|
0
|
*
|
Lake Como Convertible Bond Fund, L.P.
(9)
|
0
|
685
|
685
|
*
|
685
|
0
|
*
|
The Bank of New York Mellon FBO The Doctors Company
(10)
|
0
|
71,103
|
71,103
|
*
|
71,103
|
0
|
*
|
Snow Park Capital Partners, LP
(11)
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0
|
137,176
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137,176
|
*
|
137,176
|
0
|
*
|
Deutsche Bank AG
(12)
|
0
|
91,451
|
91,451
|
*
|
91,451
|
0
|
*
|
Wells Fargo Securities LLC
(13)
|
2,600,000
(14)
|
347,056
|
2,947,056
|
1.83%
|
347,056
|
2,600,000
(14)
|
1.62%
|
Goldman Sachs & Co. LLC FBO Geode Diversified Fund
(15)
|
0
|
457,255
|
457,255
|
*
|
457,255
|
0
|
*
|
Ell & Co FBO United HealthCare Insurance Company
(16)
|
0
|
54,870
|
54,870
|
*
|
54,870
|
0
|
*
|
Oppenheimer & Co, Inc.
(17)
|
0
|
17,375
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17,375
|
*
|
17,375
|
0
|
*
|
Selling Shareholder Name
|
Common Shares Owned Prior to the Exchange
|
Maximum Number of Common Shares Issuable Upon Exchange
(1)
|
Common Shares Owned
Following the Exchange (1)(2) |
Number of Common Shares Offered
|
Common Shares Owned
After Resale (2)(3) |
||
Number
|
%
|
Number
(3)
|
%
|
||||
Pennsylvania National Insurance Companies
(18)
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0
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9,145
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9,145
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*
|
9,145
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0
|
*
|
Society Insurance
(19)
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0
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13,717
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13,717
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*
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13,717
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0
|
*
|
Investors Heritage Life Insurance Company
(20)
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0
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9,145
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9,145
|
*
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9,145
|
0
|
*
|
Frankenmuth Mutual Insurance Company
(21)
|
0
|
9,145
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9,145
|
*
|
9,145
|
0
|
*
|
Bank of America Merrill Lynch FBO Bluefin Trading LLC
(22)
|
0
|
45,725
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45,725
|
*
|
45,725
|
0
|
*
|
Bank of America Merrill Lynch
(23)
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0
|
1
|
1
|
*
|
1
|
0
|
*
|
UBS Securities LLC FBO 1992 MSF International Ltd.
(24)
|
0
|
1,454,573
|
1,454,573
|
*
|
1,454,573
|
0
|
*
|
1992 MSF International Ltd.
(24)
|
0
|
434,392
|
434,392
|
*
|
434,392
|
0
|
*
|
Bank of America Merrill Lynch FBO Citadel Equity Fund Ltd.
(25)
|
0
|
73,160
|
73,160
|
*
|
73,160
|
0
|
*
|
Citadel Equity Fund Ltd.
(25)
|
0
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387,843
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387,843
|
*
|
387,843
|
0
|
*
|
Stifel, Nicolaus & Co., Inc.
(26)
|
0
|
18,290
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18,290
|
*
|
18,290
|
0
|
*
|
J.P. Morgan Securities LLC
(27)
|
0
|
137,176
|
137,176
|
*
|
137,176
|
0
|
*
|
Citadel Clearing LLC FBO Citadel Equity Fund Ltd.
(25)
|
0
|
36,031
|
36,031
|
*
|
36,031
|
0
|
*
|
Camden Long Only Convertible Fund LLC
(28)
|
0
|
45,725
|
45,725
|
*
|
45,725
|
0
|
*
|
Selling Shareholder Name
|
Common Shares Owned Prior to the Exchange
|
Maximum Number of Common Shares Issuable Upon Exchange
(1)
|
Common Shares Owned
Following the Exchange (1)(2) |
Number of Common Shares Offered
|
Common Shares Owned
After Resale (2)(3) |
||
Number
|
%
|
Number
(3)
|
%
|
||||
SG Americas Securities LLC FBO Société Générale S.A.
(29)
|
32,719
|
502,980
|
535,699
|
*
|
502,980
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32,719
|
*
|
Total
|
|
5,258,420
(30)
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|
|
5,258,420
(30)
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|
|
|
*
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Less than one percent of the outstanding common shares.
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(1)
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The percentage ownership is determined for each selling shareholder by taking into account the issuance and sale of our common shares issued in exchange for the notes of only such selling shareholder. Amounts also assume that no transactions with respect to our common shares or the notes occur other than the exchange.
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(2)
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Amounts assume that all of the notes are exchanged for our common shares.
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(3)
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Amounts assume the selling shareholders sell all of the common shares being offered by this prospectus supplement. The percentage is calculated assuming that each selling shareholder sells all of the shares offered by this prospectus supplement. It is difficult to estimate with any degree of certainty the amount and percentage of common shares that would be held by each selling shareholder after completion of the offering.
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(4)
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Silverback Asset Management, LLC (“Silverback”) is the investment advisor of Blackwell Partners LLC – Series B (“Blackwell”). Elliott Bossen, Chief Investment Officer of Silverback, or his designees, has the power to direct the voting and disposition of the securities held by Blackwell.
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(5)
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Silverback is the investment advisor of LMAP Kappa Limited (“LMAP”). Elliott Bossen, Chief Investment Officer of Silverback, or his designees, has the power to direct the voting and disposition of the securities held by LMAP.
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(6)
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Silverback is the investment advisor of Silverback Opportunistic Credit Master Fund Limited (“Opportunistic”). Elliott Bossen, Chief Investment Officer of Silverback, or his designees, has the power to direct the voting and disposition of the securities held by Opportunistic.
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(7)
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Basso Capital Management, L.P. (“Basso”) is the investment manager of Basso Holdings Ltd. (the “Fund”). Howard Fischer is a managing member of Basso GP LLC, an entity which is the general partner of Basso. Mr. Fischer and other managing members have ultimate responsibility for trading with respect to the Fund.
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(8)
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Nicholas D. Schoewe and Clayton A. Struve have voting and dispositive authority over the shares held by CSS, LLC. CSS, LLC indicated that it is a registered broker-dealer. CSS, LLC has represented that it acquired its securities in the ordinary course of business for investment purposes and, at the time of the acquisition of the securities, had no agreements or understandings, directly or indirectly, with any person to distribute the securities. To the extent that we become aware that CSS, LLC did not acquire its securities in the ordinary course of business or did have such an agreement or understanding, we will file a post-effective amendment to the registration statement of which this prospectus is a part to designate such person as an “underwriter” within the meaning of the Securities Act.
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(9)
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Pier 88 Investment Partners LLC (“Pier 88”) is the investment manager of Lake Como Convertible Bond Fund, L.P. (“Lake Como”). Francis Timons, Chief Executive Officer and Chief Investment Officer of Pier 88, has the power to direct the voting and disposition of the securities held by Lake Como.
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(10)
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Pier 88 is the investment manager of The Doctors Company, an Interinsurance Exchange (the “Doctors Company”). Francis Timons, Chief Executive Officer and Chief Investment Officer of Pier 88, has the power to direct the voting and disposition of the securities held by the Doctors Company.
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(11)
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Snow Park Capital Partners, L.P. (“Snow Park”) is an investment company registered under the Investment Company Act of 1940. Jeffrey Pierce, managing partner of Snow Park, has the power to direct the voting and disposition of the securities held by Snow Park.
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(12)
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Deutsche Bank AG is an affiliate of Deutsche Bank Securities Inc., a registered broker-dealer. Deutsche Bank AG has represented that it acquired its securities in the ordinary course of business as transaction-based compensation and, at the time of the acquisition of the securities, had no agreements or understandings, directly or indirectly, with any person to distribute the securities. To the extent that we become aware that Deutsche Bank AG did not acquire its securities in the ordinary course of business or did have such an agreement or understanding, we will file a post-effective amendment to the registration statement of which this prospectus is a part to designate such person as an “underwriter” within the meaning of the Securities Act.
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(13)
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Darren J. Langis has sole voting and dispositive power over the securities held by Wells Fargo Securities LLC (“Wells Fargo”). Wells Fargo indicated that it is a registered broker-dealer. Wells Fargo has represented that it acquired its securities in the ordinary course of business for investment purposes and, at the time of the acquisition of the securities, had no agreements or understandings, directly or indirectly, with any person to distribute the securities. To the extent that we become aware that Wells Fargo did not acquire its securities in the ordinary course of business or did have such an agreement or understanding, we will file a post-effective amendment to the registration statement of which this prospectus is a part to designate such person as an “underwriter” within the meaning of the Securities Act.
In the ordinary course of business, Wells Fargo and its affiliates have provided in the past, and may provide from time to time in the future, certain commercial banking, financial advisory, investment banking and other services for Gramercy Property Trust for which they have received or will receive customary fees and commissions. Wells Fargo is an agent under Gramercy Property Trust’s existing at the market equity issuance program. An affiliate of Wells Fargo is a lender under certain credit facilities of Gramercy Property Trust.
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(14)
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As of August 31, 2017, Wells Fargo and its affiliates held approximately 2,600,000 common shares of Gramercy Property Trust for the benefit of third parties or in customer fiduciary accounts in the ordinary course of business. Additionally, as of August 31, 2017, Wells Fargo and its affiliates held approximately 28,000 shares of Gramercy Property Trust’s 7.125% Series A Preferred Shares for the benefit of third parties or in customer fiduciary accounts in the ordinary course of business.
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(15)
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Geode Diversified Fund is a segregated account of Geode Capital Master Fund Ltd. Geode Capital Management LP is the investment manager of Geode Capital Master Fund Ltd. – Geode Diversified Fund (“Diversified”). Mitch Livstone and Ted Blake, portfolio managers of Diversified, have the ultimate dispositive power of the securities held by Diversified.
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(16)
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United HealthCare Insurance Company is a wholly-owned subsidiary of UnitedHealth Group Incorporated, a publicly traded company.
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(17)
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John Hellier, Senior Managing Director of Oppenheimer & Co., Inc. (“Oppenheimer”) has voting and dispositive authority over the shares held by Oppenheimer. Oppenheimer indicated that it is a registered broker-dealer. Oppenheimer has represented that it acquired its securities in the ordinary course of business for investment purposes and, at the time of the acquisition of the securities, had no agreements or understandings, directly or indirectly, with any person to distribute the securities. To the extent that we become aware that Oppenheimer did not acquire its securities in the ordinary course of business or did have such an agreement or understanding, we will file a post-effective amendment to the registration statement of which this prospectus is a part to designate such person as an “underwriter” within the meaning of the Securities Act.
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(18)
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Conning Inc. (“Conning”) is the asset manager of Pennsylvania National Insurance Companies (“Pennsylvania National”). Matthew Reilly, Vice President of Conning, Andrew Pace, Director of Conning, and Sean Hughes, Director of Conning, have the power to direct the voting and disposition of the securities held by Pennsylvania National.
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(19)
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Conning is the asset manager of Society Insurance. Matthew Reilly, Vice President of Conning, Andrew Pace, Director of Conning, and Sean Hughes, Director of Conning, have the power to direct the voting and disposition of the securities held by Society Insurance.
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(20)
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Investors Heritage Life Insurance Company is a wholly-owned subsidiary of Investors Heritage Capital Corp, a publicly traded company.
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(21)
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Conning is the asset manager of Frankenmuth Mutual Insurance Company (“Frankenmuth”). John Rappaport, Vice President of Conning, Andrew Pace, Director of Conning, and Sean Hughes, Director of Conning, have the power to direct the voting and disposition of the securities held by Frankenmuth.
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(22)
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Gennady Zavilevich and Peter Gutierrez have voting and dispositive authority over the shares held by Bluefin Trading LLC (“Bluefin”). Bluefin indicated that it is a registered broker-dealer. Bluefin has represented that it acquired its securities in the ordinary course of business for investment purposes and, at the time of the acquisition of the securities, had no agreements or understandings, directly or indirectly, with any person to distribute the securities. To the extent that we become aware that Bluefin did not acquire its securities in the ordinary course of business or did have such an agreement or understanding, we will file a post-effective amendment to the registration statement of which this prospectus is a part to designate such person as an “underwriter” within the meaning of the Securities Act.
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(23)
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Bank of America Merrill Lynch (“BAML”) is a wholly-owned subsidiary of Bank of America Corporation, a publicly traded company. BAML indicated that it is a registered broker-dealer. BAML has represented that it acquired its securities in the ordinary course of business for investment purposes and, at the time of the acquisition of the securities, had no agreements or understandings, directly or indirectly, with any person to distribute the securities. To the extent that we become aware that BAML did not acquire its securities in the ordinary course of business or did have such an agreement or understanding, we will file a post-effective amendment to the registration statement of which this prospectus is a part to designate such person as an “underwriter” within the meaning of the Securities Act.
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(24)
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Highbridge Capital Management, LLC (“HCM”) is the trading manager of 1992 MSF International Ltd. (“MSF”). Dan Duggan, Portfolio Manager and Managing Director of HCM, has voting and dispositive authority over the shares held by MSF.
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(25)
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Citadel Advisors LLC (“CAL”), an investment advisor registered under the Investment Advisor Act of 1940, acts as investment advisor to Citadel Equity Fund Ltd. (“Citadel Equity”). CAL is controlled by Kenneth Griffin who may be deemed to have voting and dispositive authority over the shares held by Citadel Equity.
Citadel Equity is an affiliate of Citadel Securities LLC, Citadel Clearing LLC, Citadel Securities Institutional LLC and Palafox Trading LLC. Citadel Equity has represented that it acquired its securities in the ordinary course of business for investment purposes and, at the time of the acquisition of the securities, had no agreements or understandings, directly or indirectly, with any person to distribute the securities. To the extent that we become aware that Citadel Equity did not acquire its securities in the ordinary course of business or did have such an agreement or understanding, we will file a post-effective amendment to the registration statement of which this prospectus is a part to designate such person as an “underwriter” within the meaning of the Securities Act.
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(26)
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Stifel, Nicolaus & Co., Inc. (“Stifel”) is a wholly-owned subsidiary of Stifel Financial Corp., a publicly traded company. Stifel indicated that it is a registered broker-dealer. Stifel has represented that it acquired its securities in the ordinary course of business for investment purposes and, at the time of the acquisition of the securities, had no agreements or understandings, directly or indirectly, with any person to distribute the securities. To the extent that we become aware that Stifel did not acquire its securities in the ordinary course of business or did have such an agreement or understanding, we will file a post-effective amendment to the registration statement of which this prospectus is a part to designate such person as an “underwriter” within the meaning of the Securities Act.
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(27)
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J.P. Morgan Securities LLC (“J.P Morgan Securities”) is a wholly-owned subsidiary of JPMorgan Chase & Co., a publicly traded company. J.P. Morgan Securities indicated that it is a registered broker-dealer. J.P. Morgan Securities has represented that it acquired its securities in the ordinary course of business for investment purposes and, at the time of the acquisition of the securities, had no agreements or understandings, directly or indirectly, with any person to distribute the securities. To the extent that we become aware that J.P. Morgan Securities did not acquire its securities in the ordinary course of business or did have such an agreement or understanding, we will file a post-effective amendment to the registration statement of which this prospectus is a part to designate such person as an “underwriter” within the meaning of the Securities Act.
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(28)
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Camden Asset Management, L.P. (“Camden Asset”) is the investment manager of Camden Long Only Convertible Fund LLC (“Camden Long”). John B. Wagner, Managing Partner and Chief Investment Officer of Camden Asset, has the power to direct the voting and disposition of the securities held by Camden Long.
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(29)
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Société Générale S.A. is a foreign publicly traded company.
Société Générale S.A.
is an affiliate of SG Americas Securities LLC, a registered broker-dealer. Société Générale S.A. has represented that it acquired its securities in the ordinary course of business for investment purposes and, at the time of the acquisition of the securities, had no agreements or understandings, directly or indirectly, with any person to distribute the securities. To the extent that we become aware that Société Générale S.A. did not acquire its securities in the ordinary course of business or did have such an agreement or understanding, we will file a post-effective amendment to the registration statement of which this prospectus is a part to designate such person as an “underwriter” within the meaning of the Securities Act.
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(30)
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Revised total amount of shares reflects that cash has been paid in lieu of fractional shares.
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1 Year Gramercy Property Trust Chart |
1 Month Gramercy Property Trust Chart |
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