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CA Xtrackers California Municipal Bonds ETF

24.845
0.025 (0.10%)
26 Apr 2024 - Closed
Delayed by 15 minutes
Name Symbol Market Type
Xtrackers California Municipal Bonds ETF NASDAQ:CA NASDAQ Exchange Traded Fund
  Price Change % Change Price Bid Price Offer Price High Price Low Price Open Price Traded Last Trade
  0.025 0.10% 24.845 12.42 37.26 0 21:30:00

AQR Capital Management 3Q 13F: Holdings As Of Sep -2-

15/11/2013 12:11pm

Dow Jones News


Xtrackers California Mun... (NASDAQ:CA)
Historical Stock Chart


From Apr 2019 to Apr 2024

Click Here for more Xtrackers California Mun... Charts.
UNION PACIFIC CORP  COM            $53,089,309       341,762         23,842 
OMNICOM GROUP INC  COM             $52,855,988       833,165        777,801 
LSI CORP  COM                      $52,558,178     6,716,700        563,228 
SIMON PROPERTY GROUP INC  COM      $52,532,416       354,398        (1,829) 
HONEYWELL INTERNATIONAL INC  C     $52,303,159       629,855        270,004 
ACCENTURE PLC  CL A                $51,939,028       705,310      (695,633) 
BELO CORP  CL A                    $50,939,628     3,718,221      3,402,480 
RELIANCE STEEL & ALUMINUM CO       $49,457,836       675,008       (97,820) 
FLEXTRONICS INTERNATIONAL LTD      $49,090,545     5,400,500    (1,206,300) 
JETBLUE AIRWAYS CORP  COM          $48,967,728     7,346,996       (60,304) 
SAKS INC  COM                      $48,496,063     3,042,413      2,918,013 
GANNETT INC  COM                   $47,570,039     1,775,664        105,709 
BRASILEIRA DIST PAO ACUCAR  AD     $47,505,572     1,032,281        212,700 
ACE LTD  ORD                       $47,432,675       506,976      (130,459) 
VISA INC  CL A                     $47,117,425       246,559       (89,025) 
EDISON INTERNATIONAL  COM          $47,075,116     1,022,039       (25,917) 
COLGATE PALMOLIVE CO  COM          $46,999,638       792,574       (44,424) 
M&T BANK CORP  COM                 $46,976,853       419,736         59,474 
GENERAL MTRS CO  JR PFD CNV SR     $46,944,161       936,075        936,075 * 
HI-TECH PHARMACAL INC  COM         $46,536,930     1,078,492      1,006,415 
COSTCO WHOLESALE CORP  COM         $46,389,555       402,792       (11,027) 
AMERICAN ELECTRIC POWER INC  C     $46,136,538     1,064,280      (595,388) 
AVNET INC  COM                     $46,062,564     1,104,353      (116,395) 
CIGNA CORP  COM                    $46,053,590       599,188        315,997 
STARBUCKS CORP  COM                $45,942,700       596,891        315,773 
TRW AUTOMOTIVE HOLDINGS CORP       $45,920,859       643,961          4,514 
PETROBRAS  ADR NVTG                $45,844,667     2,740,267        860,500 
TUPPERWARE BRANDS CORP  COM        $45,671,765       528,792      (133,171) 
PETSMART INC  COM                  $44,816,019       587,674      (258,278) 
CARDINAL HEALTH INC  COM           $44,605,564       855,332         47,952 
CUMMINS INC  COM                   $43,893,206       330,347         99,157 
LEUCADIA NATIONAL CORP  COM        $43,626,276     1,601,552        813,352 
SIGNET JEWELERS LTD  COM           $43,207,601       603,037       (86,260) 
PHILIP MORRIS INTERNATIONAL IN     $42,338,613       488,955       (28,993) 
DUKE ENERGY CORP  COM              $41,212,142       617,133       (14,140) 
MURPHY OIL CORP  COM               $40,126,674       665,230       (80,798) 
FIFTH THIRD BANCORP  COM           $39,996,562     2,215,876        296,054 
AECOM TECHNOLOGY CORP  COM         $39,925,911     1,276,812         70,134 
ALLIANT TECHSYSTEMS INC  COM       $39,678,725       406,711      (151,037) 
EBAY INC  COM                      $39,625,497       710,198        438,084 
UNITEDHEALTH GROUP INC  COM        $38,981,118       544,353      (304,635) 
BANCO BRADESCO SA  ADR PFD         $38,826,080     2,797,268         31,170 
AMERICAN FINANCIAL GROUP INC       $38,596,894       713,964      (175,201) 
AMERICAN INTERNATIONAL GROUP       $38,446,538       790,593       (92,821) 
FOOT LOCKER INC  COM               $38,369,917     1,130,522      (496,245) 
STEEL DYNAMICS INC  COM            $38,333,576     2,292,678      (177,728) 
NEWELL RUBBERMAID INC  COM         $38,174,235     1,388,154        455,754 
WABCO HOLDINGS INC  COM            $38,088,301       452,033       (60,420) 
HDFC BANK LTD  ADR                 $38,041,002     1,235,900      (506,300) 
COCA COLA ENTERPRISES INC  COM     $37,828,844       940,782       (59,287) 
VALERO ENERGY CORP  COM            $37,751,254     1,105,454        380,504 
PRUDENTIAL FINANCIAL INC  COM      $37,749,182       484,088        159,189 
IAC INTERACTIVECORP  COM           $37,561,297       687,055      (277,576) 
SOHU.COM INC  COM                  $37,075,720       470,325        170,446 
H&R BLOCK INC  COM                 $36,835,509     1,381,677        789,980 
OMNICARE INC  COM                  $36,832,242       663,644      (188,408) 
PULTEGROUP INC  COM                $36,647,985     2,221,090      (142,728) 
AMERIPRISE FINANCIAL INC  COM      $36,570,442       401,520      (812,866) 
ZIMMER HOLDINGS INC  COM           $36,566,510       445,173      (194,996) 
HARTFORD FINANCIAL SERVICES GR     $36,545,056     1,174,327        112,012 
ITAU UNIBANCO HOLDING SA  ADR      $35,979,624     2,548,132        987,000 
HOLLYFRONTIER CORP  COM            $35,887,742       852,238      (380,082) 
LINCOLN NATIONAL CORP  COM         $35,727,401       850,855      (321,207) 
PNC FINANCIAL SERVICES GROUP       $35,463,116       489,484         61,714 
DISCOVERY COMMUNICATIONS INC       $35,381,017       452,906       (39,521) 
TATA MOTORS LTD  ADR               $35,327,748     1,327,113        722,700 
ITT CORP  COM                      $35,013,287       973,944      (113,674) 
EMERSON ELECTRIC CO  COM           $34,968,538       540,472       (34,229) 
AETNA INC  COM                     $34,797,559       543,542        315,279 
OREILLY AUTOMOTIVE INC  COM        $34,581,100       271,033       (55,898) 
TJX COMPANIES INC  COM             $34,030,350       603,482      (186,669) 
MARATHON PETROLEUM CORP  COM       $33,884,741       526,815        304,782 
SK TELECOM CO LTD  ADR             $33,849,514     1,491,168      (247,200) 
CONOCOPHILLIPS  COM                $33,701,993       484,851      (142,696) 
BAXTER INTERNATIONAL INC  COM      $33,539,475       510,572      (234,836) 
VERTEX PHARMACEUTICALS INC  CO     $33,411,069       440,663       (71,882) 

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

1 Year Xtrackers California Mun... Chart

1 Year Xtrackers California Mun... Chart

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1 Month Xtrackers California Mun... Chart

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