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Name | Symbol | Market | Type |
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Ishares 1-3 Year Treasury Bond Etf | AMEX:SHY | AMEX | Fund |
Price Change | % Change | Price | High Price | Low Price | Open Price | Traded | Last Trade | |
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0.00 | 0.00% | 84.54 | 0 | 00:00:00 |
DJ CFA SOURCE: SEC 13F-HR FILER: Millennium Management LLC QUARTER ENDED: 09/30/2013 SEC RECEIVED: 11/14/2013
The following sets forth up to 200 of the largest holdings of Millennium Management LLC as of Sep. 30, according to a Form 13F filed with the Securities and Exchange Commission.
As of Sep. 30, Millennium Management LLC held 2,508 positions valued at $21,621,768,956.
Up to 200 of the largest holdings of Millennium Management LLC are listed below in order of dollar value as of Sep. 30.
Company Name Value Holdings Change PPL CORP COM $243,714,922 8,022,216 3,373,113 BAKER HUGHES INC COM $208,099,499 4,238,279 981,228 AMERICAN ELECTRIC POWER INC C $192,411,966 4,438,569 2,669,501 CMS ENERGY CORP COM $187,116,171 7,109,277 3,732,425 SEMPRA ENERGY COM $154,453,730 1,804,366 657,002 NEXTERA ENERGY INC COM $140,789,337 1,756,354 (7,839) NISOURCE INC COM $129,189,919 4,182,257 1,342,967 DOMINION RESOURCES INC/VA COM $126,385,231 2,022,811 611,158 CABOT OIL & GAS CORP CL A $121,053,093 3,243,652 950,020 CONAGRA FOODS INC COM $116,567,736 3,842,048 1,022,222 NRG ENERGY INC COM $116,147,936 4,249,833 (1,379,449) PIONEER NATURAL RESOURCES CO $115,107,584 609,680 (277,868) HESS CORP COM $110,175,702 1,424,563 811,707 CHENIERE ENERGY INC COM $103,392,785 3,028,494 (900,630) NORTHEAST UTILITIES COM $98,372,670 2,384,792 1,095,027 OGE ENERGY CORP COM $97,269,660 2,695,197 669,787 DOLLAR GENERAL CORP COM $96,131,563 1,702,649 755,109 ANADARKO PETROLEUM CORP COM $95,807,411 1,030,298 (289,116) TESORO CORP COM $95,114,974 2,162,687 1,380,344 GULFPORT ENERGY CORP COM $93,613,864 1,454,987 (1,097,206) WEATHERFORD INTERNATIONAL LTD $93,045,481 6,069,503 4,342,188 ENERGEN CORP COM $90,316,737 1,182,311 135,781 HOME DEPOT INC COM $88,882,926 1,171,825 929,077 LIFE TECHNOLOGIES CORP COM $86,676,861 1,158,317 53,479 EQT CORP COM $84,444,317 951,807 (387,157) ONEOK INC COM $81,490,342 1,528,326 1,124,453 WHITING PETROLEUM CORP COM $80,662,299 1,347,741 146,993 MYLAN (MYLAN LABS) INC COM $79,706,823 2,088,206 1,653,419 GOOGLE INC CL A $79,621,971 90,902 18,813 SCHLUMBERGER NV COM $77,910,723 881,742 (84,580) GRIFOLS SA ADR B $76,310,233 2,520,153 680,215 CAMERON INTERNATIONAL CORP CO $75,927,813 1,300,802 985,484 JOHNSON & JOHNSON COM $72,482,203 836,108 836,108 * ROSS STORES INC COM $72,431,923 994,944 (284,098) SINA CORP (SINA.COM) ORD $72,219,952 889,737 498,710 LAREDO PETROLEUM HOLDINGS INC $69,855,976 2,353,638 2,353,638 * PEPSICO INC COM $69,830,813 878,375 278,659 PORTLAND GENERAL ELECTRIC CO $69,690,385 2,468,664 297,203 COBALT INTERNATIONAL ENERGY IN $68,883,853 2,770,871 (63,651) JPMORGAN CHASE & CO INC COM $67,611,761 1,308,024 904,612 CBS CORP CL B $66,629,529 1,207,932 252,932 MEDTRONIC INC COM $66,329,212 1,245,619 720,336 MCDONALDS CORP COM $66,299,658 689,114 324,171 SPECTRA ENERGY CORP COM $66,229,779 1,934,846 (648,707) VIACOM INC CL B $63,754,991 762,802 708,197 ABBOTT LABS COM $62,879,052 1,894,518 320,189 COMCAST CORP CL A $62,516,938 1,385,724 (1,002,828) DARDEN RESTAURANTS INC COM $61,763,266 1,334,268 3,072 PATTERSON UTI ENERGY INC COM $60,393,732 2,824,777 1,035,981 DISH NETWORK CORP CL A $60,330,999 1,340,391 658,515 AMGEN INC COM $60,009,820 536,161 529,720 FACEBOOK INC CL A $59,869,740 1,191,912 813,244 CONSOL ENERGY INC COM $59,743,960 1,775,452 (201,285) TARGA RESOURCES CORP COM $58,990,495 808,532 194,400 PINNACLE WEST CAPITAL CORP CO $57,742,708 1,054,854 640,122 EOG RESOURCES INC COM $57,498,491 339,665 (333,648) APACHE CORP COM $57,067,469 670,278 120,805 ALLERGAN INC COM $56,825,303 628,251 475,090 ELECTRONIC ARTS INC COM $56,207,445 2,199,900 1,295,872 FRESH MARKET INC COM $55,764,581 1,178,706 1,121,646 FIFTH THIRD BANCORP COM $55,672,915 3,084,372 1,633,895 LYONDELLBASELL INDUSTRIES ORD $55,368,690 756,093 (275,970) DRIL-QUIP INC COM $55,298,255 481,902 37,976 FAMILY DOLLAR STORES INC COM $54,425,442 755,699 57,303 TWENTY FIRST CENTURY FOX INC $53,555,263 1,603,451 1,156,587 ROWAN COS LTD ORD A $49,934,463 1,359,871 (409,519) NYSE EURONEXT INC COM $49,920,559 1,189,151 294,249 AES CORP COM $49,744,231 3,742,982 (68,937) T ROWE PRICE GROUP INC COM $49,585,593 689,359 576,612 INTERPUBLIC GROUP OF COS COM $48,707,241 2,835,113 2,506,672 FLOWERS FOODS INC COM $48,493,078 2,261,804 1,184,391 ZIONS BANCORPORATION COM $48,446,040 1,766,814 1,197,606 RALPH LAUREN CORP CL A $48,266,384 293,003 162,529 OIL STATES INTERNATIONAL INC $47,840,421 462,405 (36,489) SIMON PROPERTY GROUP INC COM $47,557,669 320,837 70,228 PERRIGO CO COM $47,467,864 384,729 (13,576) AGILENT TECHNOLOGIES INC COM $47,227,849 921,519 (146,329) SEMGROUP CORP CL A $46,997,538 824,229 (220,166) CITIGROUP INC COM $46,930,708 967,444 396,093 CENTERPOINT ENERGY INC COM $46,926,309 1,957,710 (993,272) TIME WARNER CABLE INC COM $46,854,925 419,847 277,868 CUBIST PHARMACEUTICALS INC CO $46,474,496 731,306 26,622 SYMANTEC CORP COM $46,216,987 1,867,353 1,127,386 INCYTE CORP COM $46,031,981 1,206,605 402,061 XILINX INC COM $45,978,353 981,374 89,798 MEAD JOHNSON NUTRITION CO COM $45,897,358 618,063 311,447 FOREST LABORATORIES INC COM $45,855,561 1,071,642 (224,689) MERCK & CO INC COM $45,786,289 961,715 (369,893) CME GROUP INC CL A $45,747,161 619,209 14,353 LIBERTY GLOBAL PLC CL A $45,718,217 576,159 141,362 ALLSTATE CORP COM $45,644,729 902,962 (677,689) EASTMAN CHEMICAL CO COM $45,612,787 585,530 461,296 ABBVIE INC COM $45,569,761 1,018,774 (343,831) PNM RESOURCES INC COM $45,098,444 1,992,861 (198,874) TE CONNECTIVITY LTD COM REG $43,958,890 848,955 457,335 KB HOME COM $43,459,915 2,411,760 2,048,252 LENNAR CORP CL A $43,261,809 1,222,085 (51,522) VITAMIN SHOPPE INC COM $43,163,050 986,584 669,271 ADVANCE AUTO PARTS INC COM $43,073,634 520,968 1,787 INTUITIVE SURGICAL INC COM $43,006,156 114,296 111,656 GAP INC COM $42,776,957 1,061,990 948,187 WESTERN REFINING INC COM $42,568,272 1,417,053 119,633 ALEXION PHARMACEUTICALS INC C $41,762,192 359,523 (227,212) ALTRIA GROUP INC COM $41,723,708 1,214,664 379,828 UNION PACIFIC CORP COM $41,574,110 267,633 168,548 AMERICAN TOWER CORP CL A $41,319,914 557,398 163,347 KAR AUCTION SERVICES INC COM $41,085,975 1,456,433 1,020,370 ZIMMER HOLDINGS INC COM $40,781,442 496,487 205,311 METLIFE INC COM $40,771,051 868,393 (13,343) GROUPON INC CL A $40,349,981 3,599,142 2,600,905 WEBSTER FINANCIAL CORP COM $40,088,763 1,570,261 171,256 YAHOO INC COM $39,927,691 1,203,729 (1,571,536) STONE ENERGY CORP COM $39,550,104 1,219,553 (1,076,861) BEAM INC COM $39,518,347 611,266 81,456 PHILIP MORRIS INTERNATIONAL IN $39,352,644 454,471 (544,185) MOLEX INC CL A NVTG $38,886,279 1,015,838 1,015,838 * CONCHO RESOURCES INC COM $38,764,433 356,258 356,258 * PNC FINANCIAL SERVICES GROUP $38,722,786 534,476 445,842 DR PEPPER SNAPPLE GROUP INC C $38,629,417 861,879 (27,571) LAS VEGAS SANDS CORP COM $38,442,169 578,774 (1,120,470) STATE STREET CORP COM $38,361,838 583,450 411,589 PETSMART INC COM $38,354,052 502,938 (158,727) PDC ENERGY INC COM $37,887,445 636,336 539,285 DANAHER CORP COM $37,245,151 537,293 212,003
1 Year Ishares 1-3 Year Treasury Bond Etf Chart |
1 Month Ishares 1-3 Year Treasury Bond Etf Chart |
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