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StockPro Realtime Picks

Enter a Tiker Symbol to See 13G/13D Data for a Specific Company:

Portfolio Date:

Symbol Name of Issuer Date Name of Reporting Persons Number of Shares Percent (%)
GROW U S Global Investors Inc 01/12/2018 Financial & Investment Management Group Ltd 755,171 5.76
GROW U S Global Investors Inc 01/12/2018 Financial & Investment Management Group Ltd 755,171 5.76
NAT Nordic American Tankers Limited 01/12/2018 Morgan Stanley 7,132,477 5.00
MLNT Melinta Therapeutics, Inc. 01/12/2018 Blackrock Inc. 604,455 2.70
GOAU U.S. Global Go Gold And Precious Metal Miners Etf 01/12/2018 Financial & Investment Management Group Ltd 75,364 8.87
ECOM Channeladvisor Corporation 01/11/2018 Shapiro Capital Management Llc 0 0.00
PFNX Pfenex, Inc. 01/11/2018 Sanders Morris Harris Inc. 1,634,806 6.94
DEX Delaware Enhanced Global Dividend & Income Fund 01/11/2018 Advisors Asset Management, Inc. 744,755 4.70
CTIC Cti Biopharma Corp. 01/11/2018 Stonepine Capital Management, Llc 2,150,000 5.00
IRR Voya Natural Resources Equity Income Fund 01/11/2018 Advisors Asset Management, Inc. 1,051,424 4.65
BETR Amplify Snack Brands, Inc. 01/10/2018 Fidelity Investments 7,484,386 9.75
BSFT Broadsoft Inc 01/10/2018 Fidelity Investments 3,591,835 11.26
MNRO Monro Muffler Brake Inc 01/10/2018 Wasatch Advisors Inc 3,290,061 10.00
BWA Borgwarner Inc 01/10/2018 Vanguard Group Inc 21,222,259 10.06
LEN Lennar Corp 01/10/2018 Vanguard Group Inc 20,633,556 10.08
APTS Preferred Apartment Communities Inc 01/10/2018 Vanguard Group Inc 4,118,351 11.22
KALA Kala Pharmaceuticals, Inc. 01/10/2018 Orbimed Advisors Llc 2,692,715 10.98
COO Cooper Companies Inc 01/10/2018 Price T Rowe Associates Inc 5,636,279 11.50
MTH Meritage Homes Corp 01/10/2018 Fidelity Investments 3,663,704 9.09
DFIN Donnelley Financial Solutions, Inc. 01/10/2018 Fidelity Investments 3,751,252 11.13
EEQ Enbridge Energy Management Llc 01/10/2018 Energy Income Partners, Llc 14,331,530 16.00
LITE Lumentum Holdings, Inc. 01/10/2018 Price T Rowe Associates Inc 6,413,935 10.30
DEX Delaware Enhanced Global Dividend & Income Fund 01/10/2018 Saba Capital Management, L.P. 1,907,485 12.04
AT Atlantic Power Corporation 01/10/2018 Mangrove Partners 11,469,584 9.96
CCMP Cabot Microelectronics Corp 01/10/2018 Earnest Partners Llc 1,235,543 4.90
CBOE Cboe Holdings Inc 01/10/2018 Vanguard Group Inc 11,347,583 10.00
RE Everest Re Group Ltd 01/10/2018 Vanguard Group Inc 4,130,538 10.05
HFC Hollyfrontier Corporation 01/10/2018 Vanguard Group Inc 18,175,724 10.25
MYGN Myriad Genetics Inc 01/10/2018 Vanguard Group Inc 7,224,302 10.43
MELI Mercadolibre Inc 01/10/2018 Baillie Gifford & Co 5,681,830 12.87
PLAY Dave & Buster's Entertainment, Inc. 01/10/2018 Fidelity Investments 337,649 0.83
MGNX Macrogenics Inc 01/10/2018 Fidelity Investments 3,639,537 9.88
TLT Ishares 20 Plus Year Treasury Bond 01/10/2018 Fidelity Investments 5,700,627 10.14
EHIC Ehi Car Services Ltd. 01/10/2018 Chase Coleman 16,084,454 21.70
CPA Copa Holdings Sa 01/10/2018 Baillie Gifford & Co 2,247,908 7.23
JUNO Juno Therapeutics Inc 01/10/2018 Baillie Gifford & Co 10,547,788 9.24
HURC Hurco Companies Inc 01/10/2018 Fidelity Investments 176,765 2.67
QURE Uniqure N.V. 01/10/2018 Fidelity Investments 3,080,008 10.00
PBYI Puma Biotechnology Inc 01/10/2018 Janus Capital Management Llc 0 0.00
PBYI Puma Biotechnology Inc 01/10/2018 Henderson Group Plc 4,355,643 11.60
PBYI Puma Biotechnology Inc 01/10/2018 Henderson Group Plc 4,355,643 11.60
ISCA International Speedway Corporation 01/10/2018 John Rogers 1,993,379 8.20
NVDA Nvidia Corporation 01/10/2018 Fidelity Investments 48,149,925 7.95
AVA Avista Corp 01/10/2018 Vanguard Group Inc 6,446,838 10.00
NWN Northwest Natural Gas Co 01/10/2018 Vanguard Group Inc 2,880,332 10.03
BIDU Baidu Inc 01/10/2018 Baillie Gifford & Co 2,281,972 8.33
ADC Agree Realty Corp 01/10/2018 Cohen & Steers Inc 2,964,443 10.15
ORLY O Reilly Automotive Inc 01/10/2018 Price T Rowe Associates Inc 4,444,609 5.20
CTXS Citrix Systems Inc 01/10/2018 Fidelity Investments 16,533,983 10.96
FCX Freeport Mcmoran Inc 01/10/2018 Vanguard Group Inc 148,638,499 10.26

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