We could not find any results for:
Make sure your spelling is correct or try broadening your search.
Share Name | Share Symbol | Market | Type |
---|---|---|---|
Banco Bilbao Vizcaya Argentaria | BIT:BBVA | Italy | Ordinary Share |
Price Change | % Change | Share Price | Bid Price | Offer Price | High Price | Low Price | Open Price | Shares Traded | Last Trade | |
---|---|---|---|---|---|---|---|---|---|---|
0.00 | 0.00% | 0.00 | - |
DJ CFA SOURCE: SEC 13F-HR FILER: Two Sigma Investments LLC QUARTER ENDED: 09/30/2013 SEC RECEIVED: 11/14/2013
Up to 200 of the largest purchases of Two Sigma Investments LLC are listed below, ordered by the number of shares bought during the three months ended Sep. 30.
Company Name Value Holdings Change PFIZER INC COM $198,646,617 6,915,461 6,903,584 GENERAL MOTORS CO COM $240,596,819 6,688,819 6,688,819 FORD MOTOR CO COM $100,586,886 5,962,471 5,962,471 MICRON TECHNOLOGY INC COM $91,952,064 5,263,728 5,118,678 CORNING INC COM $88,838,277 6,088,984 4,037,786 GENERAL ELECTRIC CO COM $92,149,201 3,857,229 3,857,229 RITE AID CORP COM $24,803,451 5,210,809 3,761,850 VERIZON COMMUNICATIONS INC CO $172,902,963 3,704,402 3,688,360 FACEBOOK INC CL A $205,071,007 4,082,640 3,579,577 ELAN CORP PLC ADR $52,727,160 3,384,285 3,243,290 REGIONS FINANCIAL CORP COM $89,252,612 9,638,511 3,214,057 COCA COLA CO COM $257,416,305 6,795,573 3,117,639 JOHNSON & JOHNSON COM $263,477,784 3,039,310 3,039,310 BOSTON SCIENTIFIC CORP COM $53,788,876 4,581,676 2,965,461 ORACLE CORP COM $174,405,372 5,257,925 2,795,142 FLEXTRONICS INTERNATIONAL LTD $31,491,823 3,464,447 2,696,183 DOLLAR GENERAL CORP COM $151,628,411 2,685,590 2,666,164 BROCADE COMMUNICATIONS SYSTEMS $36,323,677 4,512,258 2,282,634 ASSURED GUARANTY LTD COM $42,943,294 2,290,309 2,185,984 BEST BUY INC COM $81,574,725 2,175,326 2,175,326 INTEL CORP COM $50,451,298 2,201,095 2,158,013 GAP INC COM $125,727,334 3,121,334 2,153,602 LAS VEGAS SANDS CORP COM $149,546,423 2,251,527 2,142,154 MERCK & CO INC COM $101,451,018 2,130,921 2,130,921 HERTZ GLOBAL HOLDINGS INC COM $46,729,678 2,108,740 2,108,740 REALOGY HOLDINGS CORP COM $98,572,715 2,291,323 2,078,953 ABBVIE INC COM $106,717,371 2,385,812 1,851,033 RLJ LODGING TRUST COM $43,340,788 1,845,074 1,845,074 TIBCO SOFTWARE INC COM $69,401,232 2,712,045 1,821,543 GROUPON INC CL A $20,413,235 1,820,822 1,820,822 HOME DEPOT INC COM $159,480,996 2,102,584 1,818,471 TIVO INC COM $22,612,387 1,817,716 1,817,716 ALTRIA GROUP INC COM $194,003,544 5,647,847 1,798,413 SYNOVUS FINANCIAL CORP COM $15,694,031 4,755,767 1,786,819 TELLABS INC COM $9,249,531 4,072,889 1,734,036 CAPITALSOURCE INC COM $30,938,680 2,604,266 1,728,775 ANADARKO PETROLEUM CORP COM $158,295,947 1,702,290 1,702,290 LIFE TECHNOLOGIES CORP COM $158,573,076 2,119,111 1,675,580 GENWORTH FINANCIAL INC CL A $56,837,811 4,440,454 1,647,837 QUESTAR CORP COM $40,664,484 1,808,114 1,600,022 MCDONALDS CORP COM $153,884,624 1,599,466 1,599,466 QIHOO 360 TECHNOLOGY CO LTD A $133,589,414 1,605,642 1,599,119 ENCANA CORP COM $27,638,456 1,594,833 1,594,833 OFFICE DEPOT INC COM $7,610,573 1,575,688 1,575,688 MASCO CORP COM $33,186,458 1,559,514 1,559,514 CMS ENERGY CORP COM $42,376,069 1,610,033 1,534,332 GOODYEAR TIRE & RUBBER CO COM $35,844,750 1,596,577 1,464,049 COMPUWARE CORP COM $20,360,048 1,819,486 1,412,130 PHILIP MORRIS INTERNATIONAL IN $165,540,164 1,911,770 1,402,696 ARCHER DANIELS MIDLAND CO COM $51,302,868 1,392,586 1,392,586 BOYD GAMING CORP COM $35,459,744 2,505,989 1,340,091 JUNIPER NETWORKS INC COM $27,403,702 1,379,844 1,260,434 DENBURY RESOURCES INC COM $23,076,420 1,253,472 1,253,472 JDS UNIPHASE INC COM $20,121,015 1,367,846 1,246,954 URBAN OUTFITTERS INC COM $79,964,822 2,174,730 1,231,899 JOHNSON CONTROLS INC COM $50,165,657 1,208,811 1,208,811 MEDTRONIC INC COM $70,975,700 1,332,877 1,208,497 UNION PACIFIC CORP COM $180,239,293 1,160,289 1,160,289 US AIRWAYS GROUP INC COM $23,036,021 1,214,980 1,159,560 TIME WARNER CABLE INC COM $133,358,764 1,194,971 1,124,744 CABOT OIL & GAS CORP CL A $221,823,176 5,943,815 1,124,065 GREEN MOUNTAIN COFFEE ROASTERS $135,660,592 1,800,884 1,120,310 MCDERMOTT INTERNATIONAL INC C $13,551,666 1,823,912 1,063,780 WELLS FARGO & CO COM $200,883,543 4,861,654 1,063,277 POWERSHARES QQQ TRUST UNIT SER $82,842,616 1,050,236 1,039,856 OFFICEMAX INC COM $17,505,353 1,368,675 1,033,168 INGRAM MICRO INC CL A $24,875,698 1,079,206 1,024,670 SUPERIOR ENERGY SERVICES INC $28,957,909 1,156,466 1,000,791 YAHOO INC COM $32,805,230 989,003 989,003 UNITED CONTINENTAL HOLDINGS IN $62,525,529 2,035,999 962,243 BP PLC ADR $173,114,089 4,118,822 960,215 METLIFE INC COM $56,838,938 1,210,627 948,097 EXTREME NETWORKS INC COM $7,874,814 1,508,585 943,899 ABBOTT LABS COM $131,200,369 3,953,009 921,785 RALPH LAUREN CORP CL A $191,952,786 1,165,257 911,423 CAREFUSION CORP COM $39,825,174 1,079,273 900,177 DOLE FOOD CO INC COM $12,164,049 893,102 893,102 FRONTIER COMMUNICATIONS CORP $5,126,870 1,226,524 872,262 NIKE INC CL B $63,014,909 867,496 867,496 NORDSTROM INC COM $48,531,060 863,542 863,542 EDWARDS LIFESCIENCES CORP COM $59,858,126 859,660 859,660 ACCENTURE PLC CL A $80,155,299 1,088,475 859,657 MELCO CROWN ENTERTAINMENT LTD $30,099,180 945,623 855,343 ASTRAZENECA PLC ADR $92,820,409 1,787,414 852,887 CIRRUS LOGIC INC COM $28,938,270 1,277,064 829,345 AMDOCS LTD COM $30,198,102 824,184 824,184 MICROSOFT CORP COM $99,866,890 3,000,808 791,340 CBRE GROUP INC COM $28,282,786 1,222,775 789,692 COLE REAL ESTATE INVESTMENTS I $9,338,614 761,714 761,714 MARATHON OIL CORP COM $140,135,911 4,017,658 735,051 QUALCOMM INC COM $105,947,677 1,573,792 733,869 JACOBS ENGINEERING GROUP INC $42,547,209 731,303 731,303 CABLEVISION SYSTEMS CORP CL A $13,759,610 817,079 729,301 RR DONNELLEY & SONS CO COM $13,394,585 848,833 714,204 HOLOGIC INC COM $14,683,988 711,089 711,089 MURPHY OIL CORP COM $42,559,862 705,568 705,568 NETFLIX INC COM $214,919,812 695,061 695,061 WILLIAMS COMPANIES INC COM $50,711,510 1,394,706 694,368 FOSTER WHEELER AG COM $19,433,547 737,796 677,083 HD SUPPLY HOLDINGS INC COM $14,737,784 670,814 670,814 NOBLE CORP ORD REG $36,284,053 960,658 668,312 DARDEN RESTAURANTS INC COM $36,542,344 789,422 662,150 GENERAL DYNAMICS CORP COM $92,220,349 1,053,706 658,651 UNITED PARCEL SERVICE INC CL $59,222,745 648,164 648,164 HEALTH MANAGEMENT ASSOCIATES $8,271,949 646,246 646,246 SYMANTEC CORP COM $16,717,685 675,462 643,189 TAKE TWO INTERACTIVE SOFTWARE $17,993,061 990,262 639,901 CONSUMER STAPLES SELECT SECTOR $26,841,814 667,364 634,253 AFLAC INC COM $70,633,328 1,139,431 623,613 BLOOMIN BRANDS INC COM $15,608,240 661,086 622,694 SM ENERGY CO COM $57,513,111 745,085 622,642 OWENS CORNING COM $76,800,839 2,022,139 617,524 UNITED RENTALS INC COM $35,911,245 616,079 616,079 DOW CHEMICAL CO COM $43,519,219 1,133,313 613,014 ALBEMARLE CORP COM $38,465,529 611,146 611,146 OCCIDENTAL PETROLEUM CORP COM $174,597,461 1,866,554 610,740 TECHNOLOGY SELECT SECTOR SPDR $19,669,265 610,449 610,449 TIME WARNER INC COM $41,504,261 630,668 607,073 TRW AUTOMOTIVE HOLDINGS CORP $86,175,283 1,208,460 606,386 VALERO ENERGY CORP COM $20,660,067 604,980 604,980 KROGER CO COM $24,858,517 616,225 600,978 AMETEK INC COM $29,802,184 647,592 597,393 COSTCO WHOLESALE CORP COM $78,920,703 685,254 593,753 AMEREN CORP COM $20,645,418 592,578 592,578 JPMORGAN CHASE & CO INC COM $42,168,547 815,797 583,696 WALGREEN CO COM $31,328,655 582,317 582,317 UNILEVER NV NY SH $58,018,301 1,538,131 563,805 HARRIS CORP COM $37,516,560 632,657 561,783 DISH NETWORK CORP CL A $56,851,591 1,263,088 551,020 GENERAL CABLE CORP COM BGC (83,681) MEDNAX INC COM MD (83,326) KAISER ALUMINUM CORP COM KALU (83,115) BT GROUP PLC ADR BT (82,888) MANHATTAN ASSOCIATES INC COM MANH (82,355) LEIDOS HOLDINGS INC COM LDOS (82,007) CR BARD INC COM BCR (79,010) NEW GOLD INC COM NGD (78,720) UNITED STATES NATURAL GAS FUND UNG (78,640) IPATH S&P 500 VIX SHORT TERM F VXX (78,459) PHH CORP COM PHH (77,810) AZZ INC COM AZZ (76,828) WALTER ENERGY INC COM WLT (76,816) TEMPUR SEALY INTERNATIONAL INC TPX (76,715) PETROBRAS ARGENTINA (ENERGIA) PZE (75,939) LAKELAND BANCORP INC COM LBAI (74,564) AMKOR TECHNOLOGY INC COM AMKR (73,842) SAFEGUARD SCIENTIFICS INC COM SFE (72,907) ITT EDUCATIONAL SERVICES INC ESI (71,472) OFG BANCORP COM OFG (70,535) NETSUITE INC COM N (69,022) ANNIES INC COM BNNY (68,562) TELECOMMUNICATION SYSTEMS INC TSYS (68,239) ZUMIEZ INC COM ZUMZ (66,515) COTT CORP (QUE) COM COT (64,175) HITTITE MICROWAVE CORP COM HITT (63,666) WESTAMERICA BANCORPORATION CO WABC (62,496) CELL THERAPEUTICS INC COM CTIC (62,227) BRINKS CO COM BCO (61,866) BANCOLOMBIA SA ADR PFD CIB (61,618) WIPRO LTD ADR WIT (61,487) CBEYOND INC COM CBEY (61,324)
13F data provided by: FactSet Research Systems Inc.; Please send questions to lionsharesinfo@factset.com. Copyright, FactSet Research Systems, 2013. All Rights Reserved.
Order free Annual Report for BCE Inc. English
Visit http://djnewswires.ar.wilink.com/?link=BCE or call 1-888-301-0513
Order free Annual Report for ConocoPhillips
Visit http://djnewswires.ar.wilink.com/?link=COP or call 1-888-301-0513
Order free Annual Report for Energy XXI
Visit http://djnewswires.ar.wilink.com/?link=EXXI or call 1-888-301-0513
Order free Annual Report for New Gold Inc.
Visit http://djnewswires.ar.wilink.com/?link=NGD or call 1-888-301-0513
Order free Annual Report for Susquehanna Bancshares Inc.
Visit http://djnewswires.ar.wilink.com/?link=SUSQ or call 1-888-301-0513
Order free Annual Report for Walter Energy
Visit http://djnewswires.ar.wilink.com/?link=WLT or call 1-888-301-0513
Subscribe to WSJ: http://online.wsj.com?mod=djnwires
1 Year Banco Bilbao Vizcaya Arg... Chart |
1 Month Banco Bilbao Vizcaya Arg... Chart |
It looks like you are not logged in. Click the button below to log in and keep track of your recent history.
Support: +44 (0) 203 8794 460 | support@advfn.com
By accessing the services available at ADVFN you are agreeing to be bound by ADVFN's Terms & Conditions