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Share Name | Share Symbol | Market | Type |
---|---|---|---|
Charter Communications Inc New | NASDAQ:CHTR | NASDAQ | Common Stock |
Price Change | % Change | Share Price | Bid Price | Offer Price | High Price | Low Price | Open Price | Shares Traded | Last Trade | |
---|---|---|---|---|---|---|---|---|---|---|
-2.22 | -0.68% | 325.31 | 325.16 | 325.48 | 329.53 | 324.20 | 328.05 | 660,926 | 20:36:55 |
ARUBA NETWORKS INC COM $8,237,349 495,033 296,985 QUIKSILVER INC COM $8,189,950 1,165,000 1,165,000 * FLEETMATICS GROUP PLC COM $8,067,918 214,858 214,858 * TYCO INTERNATIONAL LTD COM $7,870,500 225,000 35,000 MONSTER BEVERAGE CORP COM $7,837,500 150,000 150,000 * ACCRETIVE HEALTH INC COM $7,752,000 850,000 850,000 * TORNIER NV COM $7,732,000 400,000 (630,140) BEST BUY INC COM $7,725,000 206,000 (305,000) BRIGHT HORIZONS FAMILY SOLUTIO $7,667,620 214,000 65,000 MYRIAD GENETICS INC COM $7,637,500 325,000 325,000 * LINKEDIN CORP CL A $7,628,106 31,001 31,001 * AMERICAN EXPRESS CO COM $7,627,596 101,001 101,001 * PULTEGROUP INC COM $7,590,000 460,000 60,000 MELLANOX TECHNOLOGIES LTD ORD $7,499,607 197,488 197,488 * COMCAST CORP CL A $7,443,975 165,000 85,000 BLOOMIN BRANDS INC COM $7,437,150 315,000 315,000 * NORTHSTAR REALTY FINANCE CORP $7,424,000 800,000 225,000 MANNKIND CORP COM $7,410,000 1,300,000 1,300,000 * MASTERCARD INC CL A $7,401,253 11,001 0 CANADIAN PACIFIC RAILWAY LTD $7,398,000 60,000 (95,000) J B HUNT TRANSPORT SERVICES IN $7,110,675 97,500 12,500 3D SYSTEMS CORP COM $7,018,700 130,000 105,000 SUNEDISON INC COM $6,944,261 871,300 871,300 * SEALED AIR CORP COM $6,797,500 250,000 250,000 * NORWEGIAN CRUISE LINE HOLDINGS $6,756,150 219,000 (205,000) BARRICK GOLD CORP COM $6,703,200 360,000 360,000 * 21VIANET GROUP INC ADR A $6,593,428 399,844 399,844 * W R GRACE & CO COM $6,555,000 75,000 (25,000) CONNS INC COM $6,553,930 131,000 (149,000) SANOFI AVENTIS ADR $6,328,750 125,000 125,000 * AUTONATION INC COM $6,260,400 120,000 (200,000) CARDINAL HEALTH INC COM $6,258,000 120,000 (5,000) UNION PACIFIC CORP COM $6,213,600 40,000 40,000 * DEMANDWARE INC COM $6,069,276 131,001 0 IMPAX LABORATORIES INC COM $5,932,513 289,815 31,815 BE AEROSPACE INC COM $5,905,600 80,000 80,000 * MADISON SQUARE GARDEN CO CL A $5,807,000 100,000 (85,000) TRW AUTOMOTIVE HOLDINGS CORP $5,704,800 80,000 5,000 GENERAL DYNAMICS CORP COM $5,688,800 65,000 15,000 LEAR CORP COM $5,367,750 75,000 75,000 * SENSATA TECHNOLOGIES HOLDING N $5,357,800 140,000 (52,500) MEDTRONIC INC COM $5,325,000 100,000 100,000 * SUNPOWER CORP COM $5,232,000 200,000 200,000 * DICKS SPORTING GOODS INC COM $5,231,240 98,000 18,000 DANAHER CORP COM $5,199,000 75,000 42,700 CORNERSTONE ONDEMAND INC COM $5,195,491 101,001 (170,000) INGERSOLL RAND PLC ORD $5,195,200 80,000 80,000 * INTELSAT SA COM $5,171,376 215,474 (275,000) BERRY PLASTICS GROUP INC COM $5,092,350 255,000 255,000 * SINA CORP (SINA.COM) ORD $5,056,891 62,300 62,300 * SOUFUN HOLDINGS LTD ADR $5,037,998 97,560 (50,140) FLOWERS FOODS INC COM $5,016,960 234,000 (336,000) BRUNSWICK CORP COM $4,988,750 125,000 (177,000) YY INC ADR $4,958,680 106,000 (199,700) LINCOLN NATIONAL CORP COM $4,828,850 115,000 27,628 CHEMTURA CORP COM $4,827,900 210,000 210,000 * SILVER SPRING NETWORKS INC CO $4,825,642 278,456 278,456 * CADENCE PHARMACEUTICALS INC C $4,819,009 764,922 764,922 * NEWS CORP CL A $4,818,016 300,001 300,001 * GLOBUS MEDICAL INC CL A $4,801,500 275,000 (358,375) EQUINIX INC COM $4,726,784 25,738 12,000 BOEING CO COM $4,700,000 40,000 (73,300) FOREST OIL CORP COM $4,575,000 750,000 125,000 DOMINION DIAMOND CORP COM $4,571,250 375,000 100,000 COCA COLA CO COM $4,545,600 120,000 120,000 * MAGNA INTERNATIONAL INC CL A $4,540,800 55,000 55,000 * ARGO GROUP INTERNATIONAL HLDGS $4,537,216 105,770 22,147 THIRD POINT REINSURANCE LTD C $4,498,000 310,421 310,421 * EATON CORP PLC COM $4,474,600 65,000 42,000 MICHAEL KORS HOLDINGS LTD COM $4,471,200 60,000 (183,315) DELPHI AUTOMOTIVE PLC COM $4,381,500 75,000 75,000 * RF MICRO DEVICES INC COM $4,312,908 764,700 764,700 * ZILLOW INC CL A $4,299,588 51,001 51,001 * AUTOZONE INC COM $4,227,300 10,000 (20,000) ABAXIS INC COM $4,211,500 100,000 45,000 INVESCO LTD COM $4,147,000 130,000 65,000 ONCOMED PHARMACEUTICALS INC C $4,142,764 270,592 270,592 *
* 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 Charter Communications Chart |
1 Month Charter Communications Chart |
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