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Share Name | Share Symbol | Market | Type |
---|---|---|---|
Intuit Inc | NASDAQ:INTU | NASDAQ | Common Stock |
Price Change | % Change | Share Price | Bid Price | Offer Price | High Price | Low Price | Open Price | Shares Traded | Last Trade | |
---|---|---|---|---|---|---|---|---|---|---|
6.51 | 1.03% | 641.15 | 630.29 | 642.72 | 641.61 | 631.31 | 635.14 | 757,771 | 01:00:00 |
DJ CFA SOURCE: SEC 13F-HR FILER: Highbridge Capital Management LLC QUARTER ENDED: 09/30/2013 SEC RECEIVED: 11/14/2013
Up to 200 of the largest purchases of Highbridge Capital Management LLC are listed below, ordered by the number of shares bought during the three months ended Sep. 30.
Company Name Value Holdings Change GROUPON INC CL A $51,437,682 4,588,144 4,588,144 TIVO INC COM $22,621,493 1,818,448 1,818,448 SILVER EAGLE ACQUISITION CORP $15,225,000 1,500,000 1,500,000 ARUBA NETWORKS INC COM $23,263,053 1,398,020 1,398,020 MASCO CORP COM $29,216,163 1,372,940 1,372,940 MANNKIND CORP COM $7,732,107 1,356,510 1,356,510 YOUKU TUDOU INC ADR A $36,817,681 1,343,711 1,343,711 HUDSON CITY BANCORP INC COM $26,569,148 2,938,740 1,337,000 LOWES COS INC COM $62,050,256 1,303,303 1,303,303 PFIZER INC COM $38,188,221 1,329,442 1,261,862 GENERAL MOTORS CO COM $43,460,285 1,208,237 1,199,244 CAPITALSOURCE INC COM $14,150,660 1,191,133 1,191,133 EXELIS INC COM $24,889,479 1,584,308 1,048,664 NEWMONT MINING CORP COM $29,098,253 1,035,525 1,035,525 REGIONS FINANCIAL CORP COM $9,225,784 996,305 996,305 PENNEY J C INC COM $8,686,423 986,533 986,533 GENERAL MTRS CO JR PFD CNV SR $46,789,950 933,000 933,000 TEMPUR SEALY INTERNATIONAL INC $40,654,604 924,809 924,809 WHITEWAVE FOODS CO CL A $17,360,500 869,329 869,329 EASTMAN CHEMICAL CO COM $67,231,751 863,052 841,013 FACEBOOK INC CL A $113,440,889 2,258,429 812,915 FIFTH THIRD BANCORP COM $23,856,053 1,321,665 773,366 ORACLE CORP COM $43,488,756 1,311,087 754,191 ELAN CORP PLC ADR $11,692,961 750,511 750,511 TYSON FOODS INC CL A $20,621,606 729,194 729,194 KEYCORP COM $7,896,005 692,632 692,632 LIVE NATION ENTERTAINMENT INC $16,827,076 907,120 684,272 BROADCOM CORP CL A $47,247,012 1,815,796 668,280 SELECT COMFORT CORP COM $15,642,440 642,400 642,400 MERCK & CO INC COM $38,100,054 800,270 640,151 INVESCO LTD COM $80,031,390 2,508,821 633,843 SCHLUMBERGER NV COM $53,904,990 610,061 610,061 CAREFUSION CORP COM $24,222,894 656,447 591,292 ENTERGY CORP COM $38,891,360 615,467 579,426 EXPRESS SCRIPTS HOLDING CO CO $38,442,566 622,048 570,606 ADVANCE AUTO PARTS INC COM $118,897,065 1,438,039 562,448 CEMIG ENERGETICA MINAS GER AD $4,606,563 533,167 533,167 DREAMWORKS ANIMATION SKG INC $14,916,398 524,118 524,118 KINDER MORGAN INC COM CL P $18,451,689 518,743 518,743 APACHE CORP COM $45,383,281 533,043 508,658 WELLS FARGO & CO COM $31,281,719 757,060 504,669 BROCADE COMMUNICATIONS SYSTEMS $11,546,542 1,434,353 503,360 GAP INC COM $20,089,449 498,745 498,745 AT&T INC COM $31,790,529 939,992 491,111 CABLEVISION SYSTEMS CORP CL A $8,252,526 490,055 490,055 GENERAL ELECTRIC CO COM $23,314,538 975,912 473,335 EXXON MOBIL CORP COM $40,129,744 466,408 456,914 CABOT OIL & GAS CORP CL A $18,595,772 498,279 453,899 URBAN OUTFITTERS INC COM $17,280,503 469,962 445,027 TERADATA CORP COM $66,921,180 1,207,092 435,051 PPL CORP COM $13,083,086 430,648 430,648 EMC CORP/MA COM $29,264,871 1,144,948 426,145 DOLLAR GENERAL CORP COM $43,490,799 770,294 419,515 COCA COLA CO COM $15,407,879 406,755 406,755 SYNOPSYS (SYNOPSIS) INC COM $18,026,707 478,162 397,102 BBCN BANCORP INC COM $5,330,490 387,672 387,672 XILINX INC COM $18,740,400 400,000 387,500 FORD MOTOR CO COM $6,455,103 382,638 382,638 SERVICENOW INC COM $20,780,000 400,000 374,250 ARENA PHARMACEUTICALS INC COM $1,963,628 372,605 372,605 CAPITOL FEDERAL FINANCIAL COM $12,337,595 992,566 364,106 CISCO SYSTEMS INC COM $8,479,515 361,893 361,893 SILICON IMAGE INC COM $2,177,065 407,690 361,571 QEP RESOURCES INC COM $9,971,667 360,118 360,118 US BANCORP/DE COM $12,877,075 352,025 352,025 HOME DEPOT INC COM $46,792,168 616,904 345,818 ZOETIS INC CL A $11,374,827 365,515 341,610 TARGET CORP COM $38,123,827 595,871 338,272 SYSCO CORP COM $10,646,689 334,486 334,486 SUPERIOR ENERGY SERVICES INC $27,558,173 1,100,566 333,302 ROVI CORP COM $7,083,794 369,525 330,843 ARCH COAL INC COM $1,357,899 330,389 330,389 PG&E CORP COM $19,285,391 471,295 329,597 BAKER HUGHES INC COM $16,053,834 326,962 326,962 OFFICEMAX INC COM $4,163,823 325,553 325,553 MGIC INVESTMENT CORP (WI) COM $2,533,396 347,994 311,759 AOL INC COM $16,082,881 465,092 308,986 NATIONAL OILWELL VARCO INC CO $23,381,369 299,339 299,339 BB&T CORP COM $9,699,480 287,392 287,392 SHFL ENTERTAINMENT INC COM $6,578,884 286,412 286,412 MYRIAD GENETICS INC COM $24,334,438 1,035,508 285,315 SPECTRA ENERGY CORP COM $9,750,005 284,838 284,838 ALLERGAN INC COM $43,420,070 480,045 280,735 T MOBILE US INC COM $7,289,208 280,678 280,678 MANPOWERGROUP COM $20,221,720 278,000 278,000 GERDAU SA ADR PFD $2,059,281 276,043 276,043 PALO ALTO NETWORKS INC COM $12,496,947 272,740 272,740 KELLOGG CO COM $15,477,998 263,545 263,545 HARRIS CORP COM $15,984,434 269,552 258,938 ABBOTT LABS COM $50,939,813 1,534,794 254,775 PROCTER & GAMBLE CO COM $35,599,715 470,958 252,787 NEXTERA ENERGY INC UNIT 09/01 $13,660,000 250,000 250,000 AMERICAN WATER WORKS CO INC C $26,005,574 629,980 245,165 DELEK US HOLDINGS INC COM $13,760,761 652,478 243,486 CONAGRA FOODS INC COM $9,919,238 326,936 238,649 DIRECTV COM $23,344,867 390,513 235,272 VANDA PHARMACEUTICALS INC COM $2,526,702 230,749 230,749 BAXTER INTERNATIONAL INC COM $42,494,073 646,888 229,551 ENTRAVISION COMMUNICATIONS CL $1,337,648 226,720 226,720 PROGRESSIVE CORP COM $12,749,440 468,213 226,194 BROWN & BROWN INC COM $19,590,116 610,284 225,807 MOHAWK INDUSTRIES INC COM $32,133,326 246,705 225,734 BED BATH & BEYOND INC COM $19,372,801 250,424 222,460 SOUTHWESTERN ENERGY CO COM $10,358,841 284,740 220,959 CIA PARANAENSE ENER/COPEL ADR $3,084,085 220,923 220,923 ASPEN TECHNOLOGY INC COM $7,483,461 216,598 216,598 CADENCE DESIGN SYSTEM INC COM $2,877,860 213,017 213,017 IMPAX LABORATORIES INC COM $4,311,228 210,612 210,612 EARTHLINK INC COM $1,024,234 206,916 206,916 WEBMD HEALTH CORP CL A $6,637,247 232,478 205,542 QUESTAR CORP COM $4,587,195 203,966 203,966 CVS CAREMARK CORP COM $28,737,519 506,388 200,570 JACOBS ENGINEERING GROUP INC $11,496,833 197,608 197,608 ROYAL CARIBBEAN CRUISES LTD C $7,479,491 195,389 195,389 PILGRIMS PRIDE CORP COM $6,260,635 373,101 193,925 MACYS INC COM $8,375,082 193,554 193,554 ASCENA RETAIL GROUP INC COM $4,177,388 209,603 193,465 JOHNSON & JOHNSON COM $40,916,553 471,987 192,563 PROGENICS PHARMACEUTICALS INC $1,338,929 266,719 189,284 AUTOMATIC DATA PROCESSING INC $13,398,479 185,113 185,113 TIME WARNER CABLE INC COM $29,385,508 263,311 180,399 CLIFFS NATURAL RESOURCES INC $3,634,978 177,316 177,316 CAESARS ENTERTAINMENT CORP CO $3,424,930 174,031 174,031 HOLOGIC INC COM $6,296,164 304,899 173,053 HALCON RESOURCES CORP COM $765,486 172,796 172,796 AXIALL CORP COM $9,776,424 258,704 172,037 SIX FLAGS ENTERTAINMENT CORP $6,356,541 188,119 172,035 ARIAD PHARMACEUTICALS INC COM $3,761,880 204,450 170,217 QUESTCOR PHARMACEUTICALS INC $9,763,720 168,340 168,340 NATUS MEDICAL INC COM BABY (28,553) GEOSPACE TECHNOLOGIES CORP CO GEOS (28,217) CORPORATE EXECUTIVE BOARD CO CEB (28,217) BEAM INC COM BEAM (27,828) INTEGRATED DEVICE TECHNOLOGY IDTI (27,715) CINCINNATI FINANCIAL CORP COM CINF (27,676) ACCO BRANDS CORP COM ACCO (27,360) DARLING INTERNATIONAL INC COM DAR (26,668) NISOURCE INC COM NI (26,546) WHITING PETROLEUM CORP COM WLL (25,731) CGI GROUP INC CL A SUB-VTG GIB (25,600) WESTERN REFINING INC COM WNR (25,340) TELEFLEX INC COM TFX (25,075) UNIVERSAL TECHNICAL INSTITUTE UTI (25,031) WILLIAMS COMPANIES INC COM WMB (24,867) PENSKE AUTOMOTIVE GROUP INC C PAG (24,282) SMITH & WESSON HOLDING CORP C SWHC (23,960) NATIONAL RETAIL PROPERTIES INC NNN (23,768) OIL STATES INTERNATIONAL INC OIS (23,497) ROCKWELL MEDICAL INC COM RMTI (23,254) NORTHERN TRUST CORP COM NTRS (22,936) HEALTHSOUTH CORP COM HLS (22,885) MEDASSETS INC COM MDAS (22,277) INTRALINKS HOLDINGS INC COM IL (22,106) TEREX CORP COM TEX (21,680) PERFICIENT INC COM PRFT (21,477) GRUPO AEROPORTUARIO PACIFICO A PAC (21,456) DIODES INC COM DIOD (21,199) NAUTILUS INC COM NLS (21,069) TARGACEPT INC COM TRGT (21,066) AKORN INC COM AKRX (20,877) CADENCE PHARMACEUTICALS INC C CADX (20,869)
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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