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EWM iShares MSCI Malaysia New

23.61
0.00 (0.00%)
Pre Market
Last Updated: 10:22:36
Delayed by 15 minutes
Name Symbol Market Type
iShares MSCI Malaysia New AMEX:EWM AMEX Exchange Traded Fund
  Price Change % Change Price High Price Low Price Open Price Traded Last Trade
  0.00 0.00% 23.61 0 10:22:36

Caxton Associates LP 3Q 13F: Largest Purchases

15/11/2013 2:10pm

Dow Jones News


iShares MSCI Malaysia (AMEX:EWM)
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DJ CFA SOURCE: SEC 13F-HR 
FILER: Caxton Associates LP 
QUARTER ENDED: 09/30/2013 
SEC RECEIVED: 11/14/2013 
 

Up to 200 of the largest purchases of Caxton Associates LP are listed below, ordered by the number of shares bought during the three months ended Sep. 30.

 
Company Name                             Value      Holdings        Change 
 
 
SPRINT CORP  COM                   $18,657,000     3,000,000     3,000,000 
MGIC INVESTMENT CORP (WI)  COM     $14,560,000     2,000,000     2,000,000 
HD SUPPLY HOLDINGS INC  COM        $35,975,875     1,637,500     1,637,500 
XEROX CORP  COM                    $15,435,000     1,500,000     1,500,000 
RADIAN GROUP INC  COM              $14,629,690     1,050,229     1,050,229 
AMERICAN INTERNATIONAL GROUP       $65,146,936     1,339,645       805,645 
GENERAL MOTORS CO  COM             $52,156,500     1,450,000       800,000 
ANGLOGOLD ASHANTI LTD  ADR          $9,296,000       700,000       700,000 
D R HORTON INC  COM                $12,127,992       624,189       624,189 
TECHNOLOGY SELECT SECTOR SPDR      $19,920,234       618,238       618,238 
BANCO SANTANDER BRASIL SA  ADR      $4,170,000       600,000       600,000 
FORD MOTOR CO  COM                 $16,870,000     1,000,000       500,000 
INDUSTRIAL SELECT SECTOR SPDR      $20,808,002       448,400       448,400 
LYONDELLBASELL INDUSTRIES  ORD     $29,292,000       400,000       400,000 
PULTEGROUP INC  COM                 $6,547,200       396,800       396,800 
LENNAR CORP  CL A                  $13,779,450       389,250       389,250 
NORWEGIAN CRUISE LINE HOLDINGS      $9,255,000       300,000       300,000 
CALPINE CORP  COM NEW               $5,795,678       298,285       298,285 
MACYS INC  COM                     $17,308,000       400,000       279,533 
TIME WARNER INC  COM               $18,097,750       275,000       275,000 
UTILITIES SELECT SECTOR SPDR F      $9,863,132       263,700       263,700 
DISH NETWORK CORP  CL A            $45,010,000     1,000,000       260,000 
FACEBOOK INC  CL A                 $12,808,650       255,000       255,000 
PIER 1 IMPORTS INC  COM             $4,880,000       250,000       250,000 
TWENTY FIRST CENTURY FOX INC        $7,871,667       234,905       234,905 
TOLL BROTHERS INC  COM             $10,588,881       326,515       221,550 
ISHARES IBOXX US  HIGH YLD COR     $19,855,185       216,807       216,807 
CABLEVISION SYSTEMS CORP  CL A      $3,435,360       204,000       204,000 
WCI COMMUNITIES INC  COM            $3,488,246       202,100       202,100 
REGIONS FINANCIAL CORP  COM         $2,778,000       300,000       200,000 
COMCAST CORP  CL A                  $9,023,000       200,000       200,000 
MYLAN (MYLAN LABS) INC  COM         $7,634,000       200,000       200,000 
TOTAL SYSTEMS SERVICES INC  CO      $5,866,348       199,400       199,400 
NCR CORP  COM                       $7,525,900       190,000       190,000 
SALESFORCE COM INC  COM             $9,084,250       175,000       175,000 
NAVISTAR INTERNATIONAL  COM        $13,497,600       370,000       163,184 
ISHARES JPMORGAN USD EM MKTS B     $27,551,376       252,700       152,700 
TJX COMPANIES INC  COM              $7,824,113       138,750       138,750 
SNAP ON INC  COM                   $13,532,000       136,000       136,000 
FIDELITY NATIONAL INFO SERVICE      $5,862,400       126,236       126,236 
GILEAD SCIENCES INC  COM           $15,717,500       250,000       125,000 
CEPHEID  COM                        $4,684,800       120,000       120,000 
KB HOME  COM                        $2,149,786       119,300       119,300 
ISHARES CHINA LARGE CAP ETF         $4,049,136       109,200       109,200 
KEYW HOLDING CORP  COM              $1,419,338       105,527       105,527 
HOME DEPOT INC  COM                $12,515,250       165,000       105,000 
FOX FACTORY HOLDING CORP  COM       $1,927,000       100,000       100,000 
TELEFONICA BRASIL SA  ADR PFD       $2,226,048        99,200        99,200 
FISERV INC  COM                     $9,953,425        98,500        98,500 
TESORO CORP  COM                    $3,958,200        90,000        90,000 
MICHAEL KORS HOLDINGS LTD  COM     $16,697,249       224,064        82,691 
SPDR S&P HOMEBUILDERS ETF          $22,949,250       750,000        65,500 
RYLAND GROUP INC  COM               $2,570,236        63,400        63,400 
WALTER INVESTMENT MANAGEMENT        $2,095,620        53,000        53,000 
MEADOWBROOK INSURANCE GROUP IN        $325,000        50,000        50,000 
ALLSTATE CORP  COM                  $2,527,500        50,000        50,000 
ISHARES MSCI UNITED KINGDOM ET        $904,482        46,100        46,100 
LITTELFUSE INC  COM                 $6,790,904        86,818        43,800 
CUMMINS INC  COM                    $4,838,062        36,412        36,412 
ISHARES MSCI CANADA ETF               $993,681        35,100        35,100 
MOBILE TELESYSTEMS  ADR               $712,320        32,000        32,000 
INTERACTIVE BROKERS GROUP INC       $2,748,867       146,450        31,652 
ISHARES MSCI MALAYSIA ETF             $437,664        29,100        29,100 
ISHARES MSCI SINGAPORE ETF            $385,815        28,900        28,900 
BRF SA  ADR                           $620,609        25,300        25,300 
ISHARES MSCI POLAND CAPPED ETF        $721,728        25,200        25,200 
WIPRO LTD  ADR                        $258,552        25,200        25,200 
BARRICK GOLD CORP  COM              $1,862,000       100,000        25,000 
VALE SA  ADR                          $384,006        24,600        24,600 
SPDR EURO STOXX 50 ETF                $941,045        24,500        24,500 
ISHARES MSCI TAIWAN ETF               $339,648        24,400        24,400 
IDEX CORP  COM                      $1,566,000        24,000        24,000 
ISHARES MSCI JAPAN ETF                $258,664        21,700        21,700 
ISHARES MSCI BRAZIL CAPPED ETF      $1,020,483        21,300        21,300 
VIMPELCOM LTD  ADR                    $249,100        21,200        21,200 
ISHARES MSCI ITALY CAPPED ETF         $283,812        20,100        20,100 
CHINA UNICOM HONG KONG LTD  AD        $300,690        19,500        19,500 
ISHARES MSCI GERMANY ETF              $517,266        18,600        18,600 
ISHARES MSCI HONG KONG ETF            $358,537        17,900        17,900 
HARTFORD FINANCIAL SERVICES GR     $33,809,608     1,086,427        17,663 
WYNN RESORTS LTD  COM               $2,495,926        15,796        15,796 
ISHARES MSCI AUSTRALIA ETF            $386,631        15,300        15,300 
MARKET VECTORS RUSSIA ETF             $414,246        14,700        14,700 
YOUKU TUDOU INC  ADR A                $400,040        14,600        14,600 
GRUPO TELEVISA SAB  ADR PC A/B        $399,685        14,300        14,300 
VANGUARD EUROPEAN STOCK INDEX         $768,450        14,100        14,100 
ISHARES MSCI EMU ETF                  $494,263        13,100        13,100 
TATA MOTORS LTD  ADR                  $343,398        12,900        12,900 
ISHARES MSCI FRANCE ETF               $344,064        12,800        12,800 
VALE SA  ADR PFD                      $176,204        12,400        12,400 
SPREADTRUM COMMUNICATIONS INC         $356,382        11,700        11,700 
SOUTHERN COPPER CORP  COM             $296,916        10,900        10,900 
CHINA MOBILE LTD  ADR                 $553,014         9,800         9,800 
ISHARES MSCI SPAIN CAPPED ETF         $337,075         9,700         9,700 
VANGUARD EMERGING MARKETS STOC        $377,269         9,400         9,400 
ISHARES EUROPE ETF                    $397,080         9,000         9,000 
AMBEV SA  SPONSORED ADR               $322,140         8,400         8,400 
ISHARES MSCI PACIFIC EX-JAPAN         $390,730         8,200         8,200 
NETEASE INC  ADR                      $580,800         8,000         8,000 
VANGUARD FTSE ALL-WORLD EX-US         $383,940         7,900         7,900 
ISHARES MSCI EMER MKTS MIN VOL        $440,400         7,500         7,500 
WISDOMTREE EMERGING MARKETS EQ        $372,168         7,200         7,200 
TENARIS SA  ADR                       $332,138         7,100         7,100 
ISHARES MSCI ACWI ETF                 $382,832         7,100         7,100 
ISHARES MSCI ALL COUNTRY ASIA         $407,960         7,000         7,000 
ISHARES MSCI EAFE SMALL CAP ET        $325,017         6,700         6,700 
SOHU.COM INC  COM                     $520,278         6,600         6,600 
BRASILEIRA DIST PAO ACUCAR  AD        $262,314         5,700         5,700 
ISHARES MSCI EAFE ETF                 $344,525         5,400         5,400 
SASOL LTD  ADR                        $238,950         5,000         5,000 
ISHARES MSCI SOUTH AFRICA ETF         $265,566         4,200         4,200 
BHP BILLITON LTD  ADR                 $266,000         4,000         4,000 
FOMENTO ECON MEX (FEMSA)  ADR         $349,524         3,600         3,600 
ISHARES MSCI THAILAND CAPPED E        $238,592         3,200         3,200 
CNOOC LTD  ADR                        $403,600         2,000         2,000 

13F data provided by: FactSet Research Systems Inc.; Please send questions to lionsharesinfo@factset.com. Copyright, FactSet Research Systems, 2013. All Rights Reserved.

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