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Share Name | Share Symbol | Market | Type |
---|---|---|---|
Molex Incorporated - Class A (MM) | NASDAQ:MOLXA | NASDAQ | Common Stock |
Price Change | % Change | Share Price | Bid Price | Offer Price | High Price | Low Price | Open Price | Shares Traded | Last Trade | |
---|---|---|---|---|---|---|---|---|---|---|
0.00 | 0.00% | 38.66 | 0 | 00:00:00 |
DJ CFA SOURCE: SEC 13F-HR FILER: AQR Capital Management LLC QUARTER ENDED: 09/30/2013 SEC RECEIVED: 11/14/2013
Up to 200 of the largest purchases of AQR 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 HEALTH MANAGEMENT ASSOCIATES $97,844,275 7,644,084 7,583,709 CAPLEASE INC COM $54,737,840 6,447,331 5,932,072 ELAN CORP PLC ADR $91,753,300 5,889,172 5,224,842 BANK OF AMERICA CORP COM $146,833,587 10,640,115 5,168,367 BELO CORP CL A $50,939,628 3,718,221 3,402,480 STEWART ENTERPRISES INC CL A $62,765,686 4,773,056 3,160,175 SAKS INC COM $48,496,063 3,042,413 2,918,013 SHFL ENTERTAINMENT INC COM $64,535,800 2,809,569 2,782,569 TWENTY FIRST CENTURY FOX INC $91,699,076 2,736,469 2,736,469 SILVER EAGLE ACQUISITION CORP $24,106,250 2,375,000 2,375,000 QUINPARIO ACQUISITION CORP CO $23,348,225 2,329,000 2,329,000 SPRINT CORP COM $12,252,077 1,970,104 1,970,104 COOPER TIRE & RUBBER CO COM $69,150,466 2,245,145 1,964,423 BLACKBERRY LTD COM $15,561,109 1,958,604 1,958,604 AMERICA MOVIL SAB DE CV ADR L $57,435,291 2,899,308 1,554,900 ACTIVE NETWORK INC COM $22,339,813 1,561,133 1,540,733 CISCO SYSTEMS INC COM $131,507,846 5,612,558 1,441,249 HARRIS TEETER SUPERMARKETS INC $56,533,231 1,149,283 1,119,383 MICROSOFT CORP COM $238,910,730 7,178,808 1,108,439 ARCHER DANIELS MIDLAND CO COM $139,844,308 3,795,991 1,079,963 HI-TECH PHARMACAL INC COM $46,536,930 1,078,492 1,006,415 ITAU UNIBANCO HOLDING SA ADR $35,979,624 2,548,132 987,000 GLOBECOMM SYSTEMS INC COM $13,450,749 960,082 960,082 GENERAL MTRS CO JR PFD CNV SR $46,944,161 936,075 936,075 LENDER PROCESSING SERVICES INC $83,915,790 2,522,266 902,566 CEMIG ENERGETICA MINAS GER AD $19,443,162 2,250,366 870,617 MAKO SURGICAL CORP COM $25,635,337 868,700 868,700 NV ENERGY INC COM $55,229,055 2,339,223 866,554 PETROBRAS ADR NVTG $45,844,667 2,740,267 860,500 FORD MOTOR CO COM $55,527,959 3,291,521 856,192 OFFICEMAX INC COM $13,361,662 1,044,696 847,768 NATIONAL TECHNICAL SYSTEMS INC $19,203,369 840,410 840,410 HUDSON CITY BANCORP INC COM $146,452,872 16,198,747 832,440 LEUCADIA NATIONAL CORP COM $43,626,276 1,601,552 813,352 MEDWORTH ACQUISITION CORP COM $6,427,850 797,500 797,500 H&R BLOCK INC COM $36,835,509 1,381,677 789,980 ACTIVISION BLIZZARD INC COM $87,408,738 5,240,332 788,895 OMNICOM GROUP INC COM $52,855,988 833,165 777,801 HEWLETT PACKARD CO COM $21,277,437 1,013,694 742,294 WELLPOINT INC COM $94,550,118 1,130,847 729,936 TATA MOTORS LTD ADR $35,327,748 1,327,113 722,700 CEMEX SAB ADR REP 10 PC 2A/1B $7,992,470 714,890 714,890 MONSTER WORLDWIDE INC COM $3,481,926 787,766 709,414 WIPRO LTD ADR $12,609,694 1,229,015 687,054 MOLEX INC COM $30,439,274 790,220 664,641 VERENIUM CORP COM $2,536,588 638,939 638,939 HUTCHINSON TECHNOLOGY INC COM $2,315,349 663,614 600,399 MOLEX INC CL A NVTG $28,246,506 737,892 589,545 HOME DEPOT INC COM $156,710,044 2,066,052 576,365 LSI CORP COM $52,558,178 6,716,700 563,228 GREENWAY MEDICAL TECHNOLOGIES $11,126,055 538,792 538,792 ROVI CORP COM $13,195,382 688,335 518,835 BOEING CO COM $86,539,338 736,505 493,293 FACEBOOK INC CL A $23,991,656 477,636 477,636 EXTREME NETWORKS INC COM $3,311,046 634,300 467,000 NEWELL RUBBERMAID INC COM $38,174,235 1,388,154 455,754 TELEFONICA BRASIL SA ADR PFD $31,626,958 1,409,401 448,900 FLOW INTERNATIONAL CORP COM $1,836,401 460,251 448,851 EBAY INC COM $39,625,497 710,198 438,084 GTX INC COM $910,643 449,700 431,100 ORBITZ WORLDWIDE INC COM $4,908,488 509,708 424,794 GENERAL MOTORS CO COM $19,230,569 534,628 405,844 OCCIDENTAL PETROLEUM CORP COM $71,125,197 760,372 392,094 FIBRIA CELULOSE SA ADR $5,440,896 472,300 386,200 EATON VANCE RISK MNGD DIV EQ $4,155,461 384,409 384,409 ENTRAVISION COMMUNICATIONS CL $3,077,322 521,580 381,613 VALERO ENERGY CORP COM $37,751,254 1,105,454 380,504 JOHNSON & JOHNSON COM $231,934,587 2,675,448 380,287 MICRON TECHNOLOGY INC COM $26,763,486 1,532,056 377,530 OFFICIAL PAYMENTS HOLDINGS INC $3,137,472 377,100 377,100 MALLINCKRODT PLC COM $16,009,255 363,104 363,104 FIVE STAR QUALITY CARE INC CO $2,164,224 418,612 360,812 STERLING FINANCIAL CORP/WA CO $10,690,432 373,139 356,937 LIFE TECHNOLOGIES CORP COM $90,318,837 1,206,987 356,490 NEWS CORP CL A $5,677,435 353,514 353,514 FIRST SOLAR INC COM $62,591,891 1,556,625 350,219 JINKOSOLAR HOLDING CO LTD ADR $7,892,500 350,000 350,000 GENWORTH FINANCIAL INC CL A $20,983,962 1,639,372 339,529 GRAY TELEVISION INC COM $3,496,304 445,389 334,554 CIGNA CORP COM $46,053,590 599,188 315,997 STARBUCKS CORP COM $45,942,700 596,891 315,773 AETNA INC COM $34,797,559 543,542 315,279 STONERIDGE INC COM $3,503,262 324,076 313,576 MAXIM INTEGRATED PRODUCTS INC $29,821,789 1,000,060 310,429 ABBVIE INC COM $13,828,145 309,147 309,147 MEDTRONIC INC COM $136,988,980 2,572,563 305,948 STERLING BANCORP COM $4,479,811 326,279 304,851 MARATHON PETROLEUM CORP COM $33,884,741 526,815 304,782 NUVEEN QUALITY PFD INCOME FD 2 $4,121,575 505,095 302,006 INTERNATIONAL GAME TECHNOLOGY $13,341,713 704,792 301,405 ZAGG INC COM $1,340,550 297,900 297,900 FIFTH THIRD BANCORP COM $39,996,562 2,215,876 296,054 YAHOO INC COM $245,566,499 7,403,271 288,271 DENNYS CORP COM $2,992,715 489,806 287,099 CEDAR REALTY TRUST INC COM $1,474,414 284,636 284,636 COMPUTER SCIENCES CORP COM $137,471,783 2,656,973 283,344 CAPITALSOURCE INC COM $9,651,039 812,377 281,844 STAPLES INC COM $3,981,152 271,751 271,751 HONEYWELL INTERNATIONAL INC C $52,303,159 629,855 270,004 AMERICAN REALTY CAPITAL PROPS $4,090,660 335,300 266,988 LEXMARK INTERNATIONAL INC CL $22,409,277 679,069 266,869 MURPHY USA INC COM $10,711,630 265,205 265,205 INTERSIL CORP CL A $2,966,966 264,200 264,200 ION GEOPHYSICAL CORP COM $2,330,848 448,240 254,498 PGT INC COM $3,259,468 329,073 253,657 NANOSPHERE INC COM $566,490 283,245 253,575 HAIN CELESTIAL GROUP INC COM $19,805,187 256,810 249,130 SUPERIOR ENERGY SERVICES INC $15,702,734 627,106 249,016 NEWPARK RESOURCES INC COM $5,529,204 436,746 248,642 ANADARKO PETROLEUM CORP COM $79,922,487 859,474 247,369 CAREFUSION CORP COM $74,795,193 2,026,970 246,370 GREEN PLAINS RENEWABLE ENERGY $9,651,218 601,322 244,606 AMERISOURCEBERGEN CORP COM $93,597,135 1,531,868 243,071 PIKE CORP COM $3,073,255 271,489 241,589 MORGAN STANLEY COM $20,630,656 765,516 238,037 DANA HOLDING CORP COM $14,584,665 638,558 237,558 BROADCOM CORP CL A $9,576,791 368,055 230,855 DELPHI AUTOMOTIVE PLC COM $13,261,340 227,000 227,000 INTEGRATED DEVICE TECHNOLOGY $2,653,501 281,688 226,200 REPLIGEN CORP COM $2,504,643 225,847 225,847 IDERA PHARMACEUTICALS INC COM $391,500 225,000 225,000 NYSE EURONEXT INC COM $130,731,555 3,114,139 222,159 ADDUS HOMECARE CORP COM $6,879,854 237,482 219,382 ON SEMICONDUCTOR CORP COM $11,088,776 1,517,140 219,266 COMPUWARE CORP COM $21,560,131 1,926,732 218,300 DEX MEDIA INC COM $1,963,317 242,086 217,446 OMNIVISION TECHNOLOGIES INC C $3,317,493 216,688 216,688 CAESARS ENTERTAINMENT CORP CO $4,193,159 213,067 213,067 BRASILEIRA DIST PAO ACUCAR AD $47,505,572 1,032,281 212,700
1 Year Molex Incorporated - Class A (MM) Chart |
1 Month Molex Incorporated - Class A (MM) Chart |
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