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Name | Symbol | Market | Type |
---|---|---|---|
iShares US Medical Devices | AMEX:IHI | AMEX | Exchange Traded Fund |
Price Change | % Change | Price | High Price | Low Price | Open Price | Traded | Last Trade | |
---|---|---|---|---|---|---|---|---|
0.16 | 0.26% | 61.11 | 61.179 | 60.69 | 60.89 | 272,439 | 20:05:05 |
DJ CFA SOURCE: SEC 13F-HR FILER: Fidelity Management & Research Co. QUARTER ENDED: 09/30/2013 SEC RECEIVED: 11/14/2013
Up to 200 of the largest purchases of Fidelity Management & Research Co. are listed below, ordered by the number of shares bought during the three months ended Sep. 30.
Company Name Value Holdings Change METLIFE INC COM $1,987,455,333 42,331,317 41,857,755 BANK OF AMERICA CORP COM $3,572,085,895 258,846,804 40,269,960 FACEBOOK INC CL A $5,639,553,811 112,274,613 37,463,744 YAHOO INC COM $2,526,021,712 76,153,805 19,853,922 MICROSOFT CORP COM $5,619,423,281 168,852,863 16,995,022 NOKIA OYJ ADR $210,504,490 32,340,527 15,147,492 BOSTON SCIENTIFIC CORP COM $1,823,790,909 155,348,459 14,407,706 CONOCOPHILLIPS COM $1,135,271,866 16,332,497 13,248,761 TWENTY FIRST CENTURY FOX INC $1,537,003,304 45,867,004 11,494,325 MORGAN STANLEY COM $1,368,972,844 50,796,766 8,913,071 NEWS CORP CL A $135,158,663 8,415,857 8,415,857 ACCURAY INC COM $60,628,914 8,215,300 7,553,600 WHITEWAVE FOODS CO CL A $163,678,114 8,196,200 7,080,700 GROUPON INC CL A $88,420,552 7,886,946 7,020,746 MURPHY USA INC COM $281,747,756 6,975,681 6,975,681 QUALCOMM INC COM $2,826,117,027 41,980,348 6,511,202 COUSINS PROPERTIES INC COM $185,364,317 18,014,025 6,244,016 LIONS GATE ENTERTAINMENT CORP $576,089,055 16,436,207 6,165,611 TOTAL SYSTEMS SERVICES INC CO $524,369,135 17,823,560 5,970,255 AMERICAN INTERNATIONAL GROUP $995,978,240 20,480,737 5,691,917 SPIRIT AIRLINES INC COM $356,035,725 10,389,137 5,567,499 SUNCOR ENERGY INC COM $1,784,780,250 49,882,064 5,382,382 CHARLES SCHWAB CORP COM $775,271,173 36,673,187 5,272,550 SERVICENOW INC COM $1,024,483,715 19,720,572 5,207,374 RIVERBED TECHNOLOGY INC COM $263,082,984 18,031,733 5,078,328 H&R BLOCK INC COM $682,267,071 25,591,413 4,947,465 TRANSALTA CORP COM $127,986,234 9,875,481 4,824,492 TELUS CORP COM $419,489,408 12,665,743 4,733,884 NV ENERGY INC COM $458,928,488 19,437,886 4,698,020 VERISK ANALYTICS INC CL A $882,420,343 13,584,057 4,627,601 AKAMAI TECHNOLOGIES INC COM $422,672,575 8,175,485 4,617,093 FIDELITY NATIONAL FINANCIAL C $229,634,714 8,632,884 4,440,898 XCEL ENERGY INC COM $126,361,693 4,576,664 4,390,658 INVENSENSE INC COM $145,563,947 8,261,291 4,344,417 BIG LOTS INC COM $176,178,650 4,750,031 4,200,031 DANAHER CORP COM $2,646,089,417 38,172,092 4,147,635 GENWORTH FINANCIAL INC CL A $403,177,805 31,498,266 4,138,524 FREEPORT MCMORAN COPPER CL B $227,149,444 6,866,670 4,132,749 SPRINT CORP COM $25,651,298 4,124,666 4,124,666 TRIMBLE NAVIGATION LTD COM $171,866,557 5,784,805 4,090,791 FINANCIAL SELECT SECTOR SPDR F $364,139,980 18,293,895 4,071,086 CDW CORP COM $92,052,843 4,032,100 4,032,100 BANK OF MONTREAL COM $509,796,508 7,629,400 3,959,096 TEVA PHARMACEUTICAL INDUSTRIES $271,337,698 7,182,046 3,896,957 AMERICAN EAGLE OUTFITTERS INC $147,201,927 10,521,939 3,867,738 NCR CORP COM $707,464,585 17,860,757 3,580,881 LKQ CORP COM $475,350,069 14,915,283 3,562,696 MYLAN (MYLAN LABS) INC COM $307,339,534 8,051,861 3,562,093 CABOT OIL & GAS CORP CL A $966,000,621 25,884,261 3,561,303 LIBERTY GLOBAL PLC CL A $668,325,137 8,422,497 3,423,341 INTREPID POTASH INC COM $51,721,327 3,298,554 3,298,554 SS&C TECHNOLOGIES HOLDINGS INC $450,829,147 11,832,786 3,266,368 XILINX INC COM $222,123,589 4,741,064 3,258,109 BANCO BILBAO VIZCAYA ARG ADR $189,336,285 16,935,267 3,132,800 PERRIGO CO COM $889,314,033 7,207,927 3,084,546 SPROUTS FARMERS MARKETS INC C $133,325,187 3,003,496 3,003,496 NEONODE INC COM $30,331,168 4,724,481 2,992,459 GENERAL MOTORS CO COM $571,119,754 15,877,669 2,948,555 CAVIUM INC COM $149,751,000 3,634,733 2,922,256 LIFE TECHNOLOGIES CORP COM $293,852,322 3,926,932 2,883,894 LORILLARD INC COM $1,010,480,806 22,565,449 2,878,836 POTASH CORP OF SASKATCHEWAN C $289,576,977 9,257,576 2,878,178 ACTIVISION BLIZZARD INC COM $734,483,634 44,033,791 2,850,652 SINCLAIR BROADCAST GROUP INC $221,782,532 6,616,424 2,837,134 DEMAND MEDIA INC COM $28,041,347 4,436,922 2,832,116 DEL FRISCOS RESTAURANT GROUP $56,804,643 2,819,089 2,819,089 LOUISIANA PACIFIC CORP COM $48,974,078 2,784,200 2,784,200 MCGRAW HILL FINANCIAL INC COM $623,326,235 9,503,373 2,774,402 VERA BRADLEY INC COM $99,545,302 4,847,592 2,770,422 SPECTRA ENERGY CORP COM $130,803,818 3,821,321 2,770,416 WORLD FUEL SERVICES CORP COM $259,715,731 6,961,022 2,743,462 UNITED CONTINENTAL HOLDINGS IN $644,517,188 20,987,209 2,726,797 INGRAM MICRO INC CL A $317,677,866 13,782,120 2,725,420 MONDELEZ INTERNATIONAL INC CL $1,003,827,236 31,947,654 2,699,838 EATON CORP PLC COM $984,493,575 14,301,185 2,694,613 PETROBRAS ADR $102,921,539 6,644,386 2,643,100 ON SEMICONDUCTOR CORP COM $143,369,478 19,615,471 2,623,066 SYNOVUS FINANCIAL CORP COM $84,152,181 25,500,661 2,617,398 ALTISOURCE RESIDENTIAL CL B $112,104,000 4,878,329 2,437,889 GREEN MOUNTAIN COFFEE ROASTERS $1,672,392,441 22,200,882 2,428,120 AMETEK INC COM $582,861,616 12,665,398 2,413,617 UNDER ARMOUR INC CL A $991,097,833 12,474,485 2,387,400 PNC FINANCIAL SERVICES GROUP $1,371,528,491 18,930,690 2,288,107 KAR AUCTION SERVICES INC COM $228,366,777 8,095,242 2,281,202 NXP SEMICONDUCTORS NV COM $750,615,153 20,172,404 2,274,762 STARBUCKS CORP COM $3,523,004,338 45,771,136 2,244,397 INFOBLOX INC COM $113,915,547 2,723,949 2,235,393 ELECTRONIC ARTS INC COM $754,638,004 29,535,734 2,221,992 WORKDAY INC CL A $838,256,026 10,357,791 2,212,706 NORTHSTAR REALTY FINANCE CORP $83,604,726 9,009,130 2,204,072 SHUTTERSTOCK INC COM $195,614,182 2,689,964 2,200,155 FLEETMATICS GROUP PLC COM $105,517,528 2,810,054 2,173,254 AO SMITH CORP COM $152,752,225 3,379,474 2,148,674 MOSAIC CO COM $99,130,728 2,304,294 2,142,227 SPLUNK INC COM $645,095,937 10,744,436 2,135,683 INTERPUBLIC GROUP OF COS COM $119,027,730 6,928,273 2,107,095 MANULIFE FINANCIAL CORP COM $969,530,487 58,546,527 2,075,458 PAREXEL INTERNATIONAL CORP CO $218,259,108 4,347,791 2,048,226 AIRGAS INC COM $486,429,504 4,586,794 2,028,045 TCF FINANCIAL CORP COM $313,565,952 21,958,400 2,000,000 CELLDEX THERAPEUTICS INC COM $235,904,526 6,658,327 1,990,106 MATERIALS SELECT SECTOR SPDR F $83,052,846 1,976,978 1,976,978 TRANSGLOBE ENERGY CORP COM $55,828,036 7,101,900 1,974,900 LINKEDIN CORP CL A $2,053,472,569 8,345,414 1,944,602 DRYSHIPS INC ORD $30,473,028 8,608,200 1,930,100 CGI GROUP INC CL A SUB-VTG $958,795,356 27,316,107 1,885,600 INTREXON CORP COM $44,656,455 1,885,034 1,885,034 LAS VEGAS SANDS CORP COM $713,998,063 10,749,745 1,881,149 CABELAS INC CL A VTG $295,243,172 4,684,169 1,871,555 NIKE INC CL B $2,394,055,173 32,957,808 1,855,195 MOVE INC COM $42,689,192 2,516,903 1,841,903 IXIA COM $28,851,588 1,841,199 1,841,199 TRIPADVISOR INC COM $1,183,966,832 15,611,377 1,827,562 INVESCO LTD COM $625,854,011 19,619,248 1,812,523 SOUTHERN COPPER CORP COM $64,142,028 2,354,700 1,806,400 INTEGRATED DEVICE TECHNOLOGY $26,970,487 2,863,109 1,787,300 AT&T INC COM $739,351,973 21,861,383 1,785,277 MOLEX INC CL A NVTG $67,407,252 1,760,900 1,760,900 MRC GLOBAL INC COM $47,096,283 1,757,324 1,757,324 QUIMICA Y MINERA DE CHILE ADR $53,605,382 1,754,677 1,754,677 RITE AID CORP COM $8,230,516 1,729,100 1,729,100 DOLLAR GENERAL CORP COM $622,302,459 11,022,006 1,727,015 CONCUR TECHNOLOGIES INC COM $905,598,883 8,195,465 1,718,958 FOOT LOCKER INC COM $175,722,925 5,177,458 1,679,645 BAIDU INC ADR A $522,237,806 3,365,368 1,668,383 FIFTH & PACIFIC COS INC COM $170,655,317 6,790,900 1,662,900 CH ROBINSON WORLDWIDE INC COM $394,504,571 6,620,315 1,657,288 ALIGN TECHNOLOGY INC COM $358,236,150 7,447,737 1,656,508 SOUTHERN CO COM $184,124,840 4,471,220 1,632,770 AMERICAN WOODMARK CORP COM AMWD (140,999) SMTC CORP COM SMTX (139,852) LANDAUER INC COM LDR (139,101) AMERICAN AXLE & MFG HOLDINGS AXL (136,900) JPMORGAN ALERIAN MLP INDEX ETN AMJ (135,300) REACHLOCAL INC COM RLOC (129,675) MDU RESOURCES GROUP INC COM MDU (126,400) ROCKY BRANDS INC COM RCKY (125,000) ANAREN INC COM ANEN (124,900) NIPPON TELEGRAPH & TELEPHONE NTT (122,400) AIXTRON SE ADR AIXG (121,200) MADISON SQUARE GARDEN CO CL A MSG (119,450) PHARMATHENE INC COM PIP (116,702) MARTHA STEWART LIVING OMNIMEDI MSO (115,933) ISHARES US MEDICAL DEVICES ETF IHI (114,031) DINEEQUITY INC COM DIN (111,900) FLUSHING FINANCIAL CORP COM FFIC (111,500) DFC GLOBAL CORP COM DLLR (104,476) PHH CORP COM PHH (100,100) GOLD RESOURCE CORP COM GORO (100,000) ISHARES US PHARMACEUTICALS ETF IHE (98,689) LANCASTER COLONY CORP COM LANC (93,400) MODINE MANUFACTURING CO COM MOD (93,200) SILVER STANDARD RESOURCES INC SSRI (92,900) BSB BANCORP INC COM BLMT (84,457) SIFCO INDUSTRIES INC COM SIF (83,375) SPARTAN MOTORS INC COM SPAR (80,000) MEREDITH CORP COM MDP (78,600) ENTERCOM COMMUNICATIONS CORP ETM (76,053) CAPSTEAD MORTGAGE CORP COM CMO (74,200) EXTERRAN PARTNERS LP COM EXLP (72,199) TUMI HOLDINGS INC COM TUMI (67,400)
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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