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Share Name | Share Symbol | Market | Type |
---|---|---|---|
Protalix BioTherapeutics Inc | AMEX:PLX | AMEX | Common Stock |
Price Change | % Change | Share Price | High Price | Low Price | Open Price | Shares Traded | Last Trade | |
---|---|---|---|---|---|---|---|---|
0.04 | 2.23% | 1.83 | 1.82 | 1.74 | 1.78 | 273,076 | 23:00:16 |
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 eliminated positions of Fidelity Management & Research Co. are listed below, ordered by the number of shares sold during the three months ended Sep. 30.
Company Name Ticker Change PROGENICS PHARMACEUTICALS INC PGNX (8,503,246) HEALTH MANAGEMENT ASSOCIATES HMA (6,703,002) CHIQUITA BRANDS INTERNATIONAL CQB (6,476,636) PDL BIOPHARMA INC COM PDLI (6,373,539) GERON CORP COM GERN (5,934,900) RUBICON MINERALS CORP COM RBY (5,087,102) ZOGENIX INC COM ZGNX (5,078,997) TUESDAY MORNING CORP COM TUES (4,057,530) OREXIGEN THERAPEUTICS INC COM OREX (3,614,051) LAKE SHORE GOLD CORP COM LSG (3,416,600) WEATHERFORD INTERNATIONAL LTD WFT (3,304,466) NOVAGOLD RESOURCES INC COM NG (2,955,000) CAMELOT INFORMATION SYSTEMS IN CIS (2,745,381) DENDREON CORP COM DNDN (2,608,280) FIBROCELL SCIENCE INC COM FCSC (2,606,440) SK TELECOM CO LTD ADR SKM (2,400,000) VISHAY INTERTECHNOLOGY INC CO VSH (2,357,640) IDENIX PHARMACEUTICALS INC COM IDIX (2,290,683) BANRO CORP COM BAA (2,246,482) OPKO HEALTH INC COM OPK (2,097,400) SYNTA PHARMACEUTICALS CORP CO SNTA (2,068,829) INCYTE CORP COM INCY (2,032,569) UNILIFE CORP COM UNIS (2,000,000) ORAGENICS INC COM OGEN (1,666,666) WEBSTER FINANCIAL CORP COM WBS (1,650,955) QLOGIC CORP COM QLGC (1,639,816) BIOTIME INC COM BTX (1,517,900) QUALYS INC COM QLYS (1,510,900) ACXIOM CORP COM ACXM (1,449,488) TRUSTCO BANK CORP (NY) COM TRST (1,444,300) CROCS INC COM CROX (1,418,800) ICF INTERNATIONAL INC COM ICFI (1,355,693) SIBANYE GOLD LTD ADR SBGL (1,337,131) BG MEDICINE INC COM BGMD (1,253,211) WESTPORT INNOVATIONS INC COM WPRT (1,245,144) LIGAND PHARMACEUTICALS INC CL LGND (1,221,086) PROTALIX BIOTHERAPEUTICS INC PLX (1,199,085) QUANEX BUILDING PRODUCTS CORP NX (1,198,572) EPIZYME INC COM EPZM (1,150,483) GAFISA SA ADR GFA (1,120,000) IMATION CORP COM IMN (1,077,300) TORNIER NV COM TRNX (1,050,000) MYRIAD GENETICS INC COM MYGN (1,023,298) CAI INTERNATIONAL INC COM CAP (980,092) FIRST COMMONWEALTH FINANCIAL FCF (977,234) QUMU CORP COM QUMU (966,192) CHIMERA INVESTMENT CORP COM CIM (960,000) MCEWEN MINING INC COM MUX (943,810) INVESTMENT TECHNOLOGY GROUP IN ITG (931,050) OSIRIS THERAPEUTICS INC COM OSIR (917,720) DURECT CORP COM DRRX (899,531) ACELRX PHARMACEUTICALS INC CO ACRX (888,039) ISHARES MSCI BRAZIL CAPPED ETF EWZ (874,300) HEADWATERS INC COM HW (868,509) INTEVAC INC COM IVAC (865,590) DIEBOLD INC COM DBD (845,885) BAZAARVOICE INC COM BV (838,390) AMBIT BIOSCIENCES CORP COM AMBI (802,250) SIGA TECHNOLOGIES INC COM SIGA (800,745) ALLIED NEVADA GOLD CORP COM ANV (800,600) AVID TECHNOLOGY INC COM AVID (798,700) JANUS CAPITAL GROUP INC COM JNS (793,514) TESCO CORP COM TESO (759,185) EXACT SCIENCES CORP COM EXAS (756,961) ANTARES PHARMA INC COM ATRS (706,700) ADVANCED SEMI ENG (ASE) ADR ASX (703,847) HOMEAWAY INC COM AWAY (689,978) SPREADTRUM COMMUNICATIONS INC SPRD (685,773) SYMMETRICOM INC COM SYMM (662,900) MDC HOLDINGS INC COM MDC (659,692) SUSQUEHANNA BANCSHARES INC CO SUSQ (649,081) PORTOLA PHARMACEUTICALS INC C PTLA (644,600) CALUMET SPECIALTY PRODUCTS UN CLMT (626,112) DUCOMMUN INC (DEL) COM DCO (617,417) SEABRIDGE GOLD INC COM SA (601,905) NATUS MEDICAL INC COM BABY (600,075) SPDR S&P PHARMACEUTICALS ETF XPH (596,467) REXNORD CORP COM RXN (587,500) MONARCH CASINO & RESORT INC C MCRI (534,203) FIRST TR HEALTH CARE ALPHADEX FXH (533,300) MAKO SURGICAL CORP COM MAKO (529,700) INTERNATIONAL TOWER HILL MIN THM (525,600) WRIGHT MEDICAL GROUP INC COM WMGI (500,000) DENNYS CORP COM DENN (490,042) HERCULES OFFSHORE INC COM HERO (486,800) SURMODICS INC COM SRDX (483,100) USG CORP COM USG (482,700) WILSHIRE BANCORP INC COM WIBC (478,900) KERYX BIOPHARMACEUTICALS INC KERX (468,000) SED INTERNATIONAL HOLDINGS INC SED (465,000) VIEWPOINT FINANCIAL GROUP COM VPFG (462,400) IBERIABANK CORP COM IBKC (452,652) SPIRIT AEROSYSTEMS HOLDINGS C SPR (447,428) FIRST TR CONSUMER DISCRETIONAR FXD (444,000) FIRST TR CONSUMER STAPLES ALPH FXG (439,700) ARTHROCARE CORP COM ARTC (420,000) SPECTRUM BRANDS HOLDINGS INC SPB (412,900) CORELOGIC INC COM CLGX (408,721) PANTRY INC COM PTRY (401,567) TREX INC COM TREX (393,052) CAMBREX CORP COM CBM (390,300) ISHARES US TECHNOLOGY ETF IYW (388,650) PIKE CORP COM PIKE (382,313) MERCURY SYSTEMS INC COM MRCY (382,300) AMKOR TECHNOLOGY INC COM AMKR (378,992) COPART INC COM CPRT (378,963) NORTHERN TIER ENERGY LP COM U NTI (364,779) NQ MOBILE INC ADR A NQ (363,263) VASCULAR SOLUTIONS INC COM VASC (360,000) GRANITE CONSTRUCTION INC COM GVA (359,800) EATON VANCE CORP COM NON-VTG EV (356,200) NEW YORK COMMUNITY BANCORP INC NYCB (355,700) 1ST SOURCE CORP COM SRCE (353,355) LIN MEDIA LLC CL A LIN (350,600) WALKER & DUNLOP INC COM WD (330,139) DIXIE GROUP INC CL A DXYN (325,000) AFP PROVIDA SA ADR PVD (323,077) TILLYS INC CL A TLYS (313,800) SHFL ENTERTAINMENT INC COM SHFL (311,661) AMERICAN FINANCIAL GROUP INC AFG (304,500) PARK OHIO HOLDINGS CORP COM PKOH (302,266) INTELSAT SA PFD CONV CL A I.PRA (300,000) INFORMATICA CORP COM INFA (294,300) INVESCO MORTGAGE CAPITAL INC IVR (294,257) INTERNATIONAL BANCSHARES CORP IBOC (283,550) LIVE NATION ENTERTAINMENT INC LYV (281,700) BELO CORP CL A BLC (274,300) LANDSTAR SYSTEMS INC COM LSTR (272,400) SYNAPTICS INC COM SYNA (270,411) FAIRWAY GROUP HOLDINGS CORP C FWM (269,718) BARRETT BILL CORP COM BBG (268,726) WINTRUST FINANCIAL CORP COM WTFC (267,600) FEDERAL REALTY INVESTMENT TRUS FRT (267,400) FBL FINANCIAL GROUP INC CL A FFG (264,749) BRE PROPERTIES INC CL A COM BRE (263,200) CIBER INC COM CBR (256,600) CADENCE DESIGN SYSTEM INC COM CDNS (255,692) ACTUATE CORP COM BIRT (245,000) IROBOT CORP COM IRBT (242,546) NATIONAL BANK HOLDINGS CORP C NBHC (238,501) PAIN THERAPEUTICS INC COM PTIE (236,740) RESOLUTE ENERGY CORP COM REN (231,500) POWERSHARES DYNAMIC PHARMA PTF PJP (231,400) RICHMONT MINES INC COM RIC (230,900) NEKTAR THERAPEUTICS COM NKTR (227,100) CIRRUS LOGIC INC COM CRUS (222,978) LIQUIDITY SERVICES INC COM LQDT (222,800) SWIFT TRANSPORTATION CO CL A SWFT (218,700) GSI TECHNOLOGY INC COM GSIT (214,300) IHS INC CL A IHS (203,075) SHANDA GAMES LTD ADR GAME (200,000) EXTERRAN HOLDINGS INC COM EXH (199,700) INNOPHOS HOLDINGS INC COM IPHS (199,290) DEPOMED INC COM DEPO (196,100) US GLOBAL INVESTORS INC CL A GROW (195,168) BOOZ ALLEN HAMILTON HLDG CORP BAH (189,100) REGIONAL MANAGEMENT CORP COM RM (183,600) ASTRONICS CORP COM ATRO (180,571) W R BERKLEY CORP COM WRB (176,424) MCCLATCHY CO CL A MNI (168,491) MA COM TECHNOLOGY SOLUTIONS C MTSI (164,887) SUMMIT HOTEL PPTYS PFD 7.125 INN.PRC (160,000) E W SCRIPPS CO CL A SSP (159,938) AGENUS INC COM AGEN (159,514) ALLEGIANT TRAVEL CO COM ALGT (157,825) HILLSHIRE BRANDS CO COM HSH (157,170) FORWARD AIR CORP COM FWRD (146,979) CEMIG ENERGETICA MINAS GER AD CIG (144,911)
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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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