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Get Institutions for : 
Advanced Micro Devices Inc (AMD)    
$4.05 0.04 (1%) as of 4:30 Fri 5/24


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Institutional Holders
Viewing Quarter :
  
Total Institutions: 226    15
Total shares held : 
256,734,837  
% of shares held : 
37.15%  
Changes In:
New/increased positions vs   
old/decreased positions : 
  -35  
Amount of shares held : 
-32,228,775  
% of shares held change : 
  -4.66%  
Quarter Price vs. Current Price:
Last Quarter's Starting Price
$2.53  
Last Quarter's Ending Price : 
$2.55  
Last Quarter's Average Price
$2.61  
Change from last quarter's     
avg. price to the last closing  : 
1.44 (54.89%)  




 
All Securities Held :
Positions
     Shares
% Of
Total Shares
New Positions :
22
 9,189,563
 3.58%
 
Increased Positions :
74
 12,550,478
 4.89%
 
Unchanged Positions :
36
 32,550,582
 12.68%
 
Decreased Positions :
94
-43,349,198
-16.88%
 
Closed Positions :
37
-10,619,618
-4.14%
 
Guru Positions :
0
0
 0%
 
View holdings for period: 
6-30-2011 View holdings for period: 
9-30-2011 View holdings for period: 
12-31-2011 View holdings for period: 
3-31-2012 View holdings for period: 
6-30-2012 View holdings for period: 
9-30-2012 View holdings for period: 
12-31-2012 View holdings for the current period

  Page 1 of 1  
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            Institution Name
Portfolio
Position
New/Closed
Position

Filing Date

Total Shares

Total Value

Change in Shares

File
   VANGUARD GROUP INC 1117 - 2013-03-31 40,980,439 $104,500,000 -71,876
   OPPENHEIMER FUNDS INC 193 - 2013-03-31 30,000,000 $76,500,000 0
   STATE STREET CORP 1012 - 2013-03-31 22,459,294 $57,272,000 -414,810
   BLACKROCK INSTITUTIONAL TRUST COMPANY 1240 - 2013-03-31 15,817,864 $40,336,000 9,823
   NORGES BANK 534 *New 2013-03-31 4,769,399 $38,251,000 4,769,399
   AMERIPRISE FINANCIAL INC 712 - 2013-03-31 12,560,293 $32,030,000 -3,150,317
   BLACKROCK FUND ADVISORS 1772 - 2013-03-31 8,062,384 $20,559,000 -72,096
   ARROWSTREET CAPITAL LIMITED PARTNERSHIP 155 - 2013-03-31 6,744,817 $17,199,000 -157,186
   NORTHERN TRUST CORP 1457 - 2013-03-31 6,648,690 $16,955,000 157,885
   HEXAVEST INC. 88 - 2013-03-31 6,194,148 $15,795,000 206,092
   BANK OF NEW YORK MELLON CORP 1482 - 2013-03-31 6,109,402 $15,580,000 295,771
   PRICE T ROWE ASSOCIATES INC /MD/ 1112 - 2013-03-31 5,617,287 $14,324,000 493,300
   BARCLAYS PLC 519 - 2013-03-31 4,195,064 $10,697,000 1,065,891
   GUGGENHEIM CAPITAL LLC 845 - 2013-03-31 4,063,332 $10,361,000 717,411
   GEODE CAPITAL MANAGEMENT LLC 874 - 2013-03-31 3,999,626 $10,198,000 164,059
   CI INVESTMENTS INC 145 - 2013-03-31 3,122,400 $7,962,000 65,900
   INVESCO LTD 1466 - 2013-03-31 2,802,496 $7,146,000 893,719
   PUTNAM INVESTMENT MANAGEMENT LLC 538 - 2013-03-31 2,680,371 $6,835,000 -29,600
   CALIFORNIA PUBLIC EMPLOYEES RETIREMENT SYSTEM 1033 - 2013-03-31 2,310,612 $5,892,000 77,037
   PARAMETRIC PORTFOLIO ASSOCIATES 904 - 2013-03-31 2,194,523 $5,596,000 196,955
   BNP PARIBAS ARBITRAGE SA 233 - 2013-03-31 2,123,822 $5,416,000 221,886
   ALLIANZ ASSET MANAGEMENT AG 776 - 2013-03-31 2,068,353 $5,274,000 -176,498
   DW INVESTMENT MANAGEMENT, LP 14 *New 2013-03-31 2,000,000 $5,070,000 2,000,000
   AVIVA PLC 298 - 2013-03-31 1,923,573 $4,905,000 -91,119
   AQR CAPITAL MANAGEMENT LLC 777 - 2013-03-31 1,898,748 $4,842,000 1,300,548
   CREDIT SUISSE/ 1389 - 2013-03-31 1,760,085 $4,488,000 -11,576,598
   NEW YORK STATE COMMON RETIREMENT FUND 1147 - 2013-03-31 1,619,505 $4,130,000 -245,000
   CITADEL ADVISORS LLC 1069 - 2013-03-31 1,546,463 $3,944,000 -272,016
   UBS GLOBAL ASSET MANAGEMENT AMERICAS INC 1002 - 2013-03-31 1,461,048 $3,725,000 1,108,945
   SCHWAB CHARLES INVESTMENT MANAGEMENT INC 1241 - 2013-03-31 1,460,221 $3,563,000 138,288
   J P MORGAN CHASE & CO 1961 - 2013-03-31 1,340,397 $3,417,000 -126,536
   BLACKROCK INC. 805 - 2013-03-31 1,262,425 $3,219,000 607,148
   RHUMBLINE ADVISERS 1033 - 2013-03-31 1,207,128 $3,078,000 101,790
   FMR LLC 2121 - 2013-03-31 1,173,109 $2,991,000 -7,707,726
   ALLIANCEBERNSTEIN L.P. 1303 - 2013-03-31 1,144,584 $2,919,000 -851
   COMMERZBANK AKTIENGESELLSCHAFT 570 - 2013-03-31 1,143,829 $2,916,000 -109,311
   BLACKROCK INVESTMENT MANAGEMENT LLC 1535 - 2013-03-31 1,131,452 $2,885,000 4,359
   STATE BOARD OF ADMINISTRATION OF FLORIDA RETIREMEN 943 - 2013-03-31 1,117,301 $2,849,000 0
   CALIFORNIA STATE TEACHERS RETIREMENT SYSTEM 1125 - 2013-03-31 1,092,495 $2,786,000 -10,120
   SUSQUEHANNA INTERNATIONAL GROUP, LLP 1241 - 2013-03-31 1,085,205 $2,767,000 -2,165,192
   WELLS FARGO & CO/MN 2441 - 2013-03-31 1,062,475 $2,709,000 266,755
   RABOBANK NEDERLAND /FI 23 *New 2013-03-31 1,038,672 $2,648,000 1,038,672
   GOLDMAN SACHS GROUP INC/ 2054 - 2013-03-31 1,037,310 $2,645,000 -1,582,040
   BANK OF AMERICA CORP /DE/ 2167 - 2013-03-31 976,905 $2,491,000 -42,721
   DIMENSIONAL FUND ADVISORS INC 2744 - 2013-03-31 947,366 $2,416,000 20,118
   CITIGROUP INC 1121 - 2013-03-31 934,135 $2,382,000 -1,534,818
   ADAGE CAPITAL PARTNERS GP LLC 589 - 2013-03-31 866,010 $2,208,000 29,600
   BLACKROCK GROUP LTD 1191 - 2013-03-31 863,168 $2,201,000 -1,567,078
   BANK OF NOVA SCOTIA / 202 - 2013-03-31 860,198 $2,193,000 139,197
   AMP CAPITAL INVESTORS LTD 699 *New 2013-03-31 856,027 $2,184,000 856,027
   GATEWAY INVESTMENT ADVISERS LP 341 - 2013-03-31 852,834 $2,175,000 -800
   NATIXIS 198 - 2013-03-31 805,427 $2,103,000 503,631
   UBS AG 1734 - 2013-03-31 821,236 $2,093,000 -699,918
   D E SHAW & CO INC 1078 - 2013-03-31 795,643 $2,029,000 562,968
   JACOBS LEVY EQUITY MANAGEMENT INC 435 - 2013-03-31 782,922 $1,996,000 782,922
   MORGAN STANLEY 2992 - 2013-03-31 732,611 $1,869,000 -12,081
   ARIZONA STATE RETIREMENT SYSTEM 749 - 2013-03-31 264,585 $1,849,000 -9,500
   PRUDENTIAL FINANCIAL INC 1354 - 2013-03-31 692,798 $1,767,000 -70,424
   PRINCIPAL FINANCIAL GROUP INC 1620 - 2013-03-31 597,615 $1,524,000 17,395
   TIMBER HILL LLC 174 - 2013-03-31 587,323 $1,498,000 -447,222
   ROYAL BANK OF CANADA 1761 - 2013-03-31 557,539 $1,423,000 -269,285
   VAN ECK ASSOCIATES CORP 314 - 2013-03-31 553,000 $1,410,000 -98,633
   STATE OF WISCONSIN INVESTMENT BOARD 1151 - 2013-03-31 538,911 $1,374,000 -33,970
   ING INVESTMENT MANAGEMENT CO 1193 - 2013-03-31 537,802 $1,371,000 5,533
   JANE STREET HOLDING LLC 490 - 2013-03-31 482,900 $1,231,000 83,929
   NUVEEN ASSET MANAGEMENT, LLC 845 - 2013-03-31 478,899 $1,221,000 428,879
   BRITISH COLUMBIA INVESTMENT MANAGEMENT CORP 502 - 2013-03-31 469,870 $1,198,000 82,413
   CAISSE DE DEPOT ET PLACEMENT DU QUEBEC 711 - 2013-03-31 457,900 $1,168,000 -23,700
   PLATINUM INVESTMENT MANAGEMENT LTD 61 - 2013-03-31 456,239 $1,163,000 -2,047,379
   COMMONWEALTH BANK OF AUSTRALIA 685 - 2013-03-31 452,553 $1,154,000 8,124
   NOMURA HOLDINGS INC 648 - 2013-03-31 449,783 $1,145,000 -728,381
   ROBERTSON OPPORTUNITY CAPITAL LLC 27 - 2013-03-31 430,000 $1,097,000 0
   MANUFACTURERES LIFE INSURANCE CO 499 - 2013-03-31 136,093 $1,090,000 -276
   ING GROEP NV 556 - 2013-03-31 426,273 $1,083,000 110,000
   CHEVY CHASE TRUST HOLDINGS, INC. 559 - 2013-03-31 423,848 $1,081,000 -16,520
   METROPOLITAN LIFE INSURANCE CO/NY 1172 - 2013-03-31 422,554 $1,078,000 -9,003
   TD ASSET MANAGEMENT INC 823 - 2013-03-31 419,976 $1,070,000 -5,000
   TWO SIGMA INVESTMENTS LLC 1189 - 2013-03-31 387,233 $987,000 -612,967
   DEUTSCHE BANK AG 2415 - 2013-03-31 378,202 $963,000 -1,142,881
   LEGAL & GENERAL GROUP PLC 882 - 2013-03-31 368,613 $940,000 -2,057,284
   LOS ANGELES CAPITAL MANAGEMENT & EQUITY RESEARCH I 659 - 2013-03-31 351,600 $897,000 282,870
   MFC GLOBAL INVESTMENT MANAGEMENT (U.S.) LLC 1245 - 2013-03-31 332,188 $847,000 -11,743
   APG ALL PENSIONS GROUP 704 - 2013-03-31 324,118 $827,000 -105,346
   IBM RETIREMENT FUND 926 - 2013-03-31 298,623 $761,000 -10,063
   TCW GROUP INC 676 - 2013-03-31 296,050 $755,000 87,650
   MASON STREET ADVISORS LLC 1161 - 2013-03-31 263,700 $672,000 183,800
   STATE TREASURER STATE OF MICHIGAN 893 - 2013-03-31 258,823 $660,000 -3,132
   CANAL INSURANCE CO 67 - 2013-03-31 350,000 $638,000 100,000
   COMERICA BANK 1762 - 2013-03-31 238,747 $609,000 -7,498
   HIGHBRIDGE CAPITAL MANAGEMENT LLC 472 - 2013-03-31 225,620 $575,000 20,283
   WOLVERINE ASSET MANAGEMENT LLC 366 - 2013-03-31 214,010 $545,000 135,800
   SG AMERICAS SECURITIES LLC 1294 - 2013-03-31 213,488 $544,000 -1,475,290
   AMERICAN INTERNATIONAL GROUP INC 1791 - 2013-03-31 209,461 $534,000 8,442
   PUBLIC SECTOR PENSION INVESTMENT BOARD 1130 - 2013-03-31 200,768 $512,000 0
   MFC GLOBAL INVESTMENT MANAGEMENT USA LTD 1054 - 2013-03-31 199,682 $509,000 4,473
   PUBLIC EMPLOYEES RETIREMENT ASSOCIATION OF COLORAD 1176 - 2013-03-31 194,603 $496,000 -72,817
   GROUP ONE TRADING, L.P. 212 - 2013-03-31 184,931 $471,000 -177,781
   INDICESPAC RESEARCH CORP. 106 *New 2013-03-31 183,594 $468,000 183,594
   EXXONMOBIL INVESTMENT MANAGEMENT INC /TX 497 - 2013-03-31 181,548 $463,000 -12,099
   BABSON CAPITAL MANAGEMENT LLC 580 - 2013-03-31 178,747 $456,000 -53,500

  100 Records found
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