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Share Name | Share Symbol | Market | Type |
---|---|---|---|
Lender Processing Services, Lender Processing Services, | NYSE:LPS | NYSE | Ordinary Share |
Price Change | % Change | Share Price | High Price | Low Price | Open Price | Shares Traded | Last Trade | |
---|---|---|---|---|---|---|---|---|
0.00 | 0.00% | 37.30 | 0.00 | 00:00:00 |
From Jan 2020 to Jan 2025
DJ CFA SOURCE: SEC 13F-HR FILER: AQR Capital Management LLC QUARTER ENDED: 09/30/2013 SEC RECEIVED: 11/14/2013
The following sets forth up to 200 of the largest holdings of AQR Capital Management LLC as of Sep. 30, according to a Form 13F filed with the Securities and Exchange Commission.
As of Sep. 30, AQR Capital Management LLC held 4,237 positions valued at $25,613,311,673.
Up to 200 of the largest holdings of AQR Capital Management LLC are listed below in order of dollar value as of Sep. 30.
Company Name Value Holdings Change EXXON MOBIL CORP COM $304,225,911 3,535,866 (208,480) YAHOO INC COM $245,566,499 7,403,271 288,271 MICROSOFT CORP COM $238,910,730 7,178,808 1,108,439 CHEVRON CORP COM $237,306,510 1,953,140 (247,679) JOHNSON & JOHNSON COM $231,934,587 2,675,448 380,287 LYONDELLBASELL INDUSTRIES ORD $231,579,623 3,162,360 175,083 JPMORGAN CHASE & CO INC COM $228,557,001 4,421,687 80,246 PROCTER & GAMBLE CO COM $221,323,514 2,927,947 (78,411) APPLE INC COM $201,216,628 422,059 (23,283) GOOGLE INC CL A $199,408,795 227,659 6,633 PFIZER INC COM $198,195,060 6,899,741 (3,902,829) AMGEN INC COM $181,804,814 1,624,345 (398,185) WESTERN DIGITAL CORP COM $180,908,540 2,853,447 78,100 CELGENE CORP COM $177,795,026 1,153,487 175,606 GENERAL ELECTRIC CO COM $172,960,805 7,239,883 (840,791) WELLS FARGO & CO COM $171,227,890 4,143,947 (1,148,718) CVS CAREMARK CORP COM $170,980,032 3,012,864 (64,477) ELI LILLY & CO COM $166,767,851 3,313,488 (564,803) GOLDMAN SACHS GROUP INC COM $164,832,196 1,041,857 (2,744) GAMESTOP CORP CL A $162,422,875 3,271,357 (933,991) CITIGROUP INC COM $158,986,820 3,277,403 (1,294,677) HOME DEPOT INC COM $156,710,044 2,066,052 576,365 WAL MART STORES INC COM $155,947,988 2,108,545 (140,786) NORTHROP GRUMMAN CORP COM $150,091,561 1,575,599 (198,487) BANK OF AMERICA CORP COM $146,833,587 10,640,115 5,168,367 HUDSON CITY BANCORP INC COM $146,452,872 16,198,747 832,440 AT&T INC COM $144,177,974 4,263,098 (851,584) HESS CORP COM $141,737,692 1,832,657 57,127 ABBOTT LABS COM $140,343,417 4,228,485 (145,668) ARCHER DANIELS MIDLAND CO COM $139,844,308 3,795,991 1,079,963 COMPUTER SCIENCES CORP COM $137,471,783 2,656,973 283,344 MEDTRONIC INC COM $136,988,980 2,572,563 305,948 KIMBERLY CLARK CORP COM $132,804,974 1,409,520 (45,320) CISCO SYSTEMS INC COM $131,507,846 5,612,558 1,441,249 BOSTON SCIENTIFIC CORP COM $131,173,685 11,173,227 (1,084,073) NYSE EURONEXT INC COM $130,731,555 3,114,139 222,159 TYSON FOODS INC CL A $128,682,767 4,550,310 (402,250) DISCOVER FINANCIAL SERVICES C $121,591,912 2,405,855 (393,549) SYMANTEC CORP COM $121,553,933 4,911,270 (248,730) MCKESSON CORP COM $119,992,190 935,247 197,307 KEYCORP COM $115,121,441 10,098,372 (2,297,047) INTERNATIONAL BUSINESS MACHINE $113,282,013 611,740 78,885 COCA COLA CO COM $111,971,234 2,955,946 (52,956) TRAVELERS COS INC CL A $110,078,931 1,298,560 (168,533) VERIZON COMMUNICATIONS INC CO $109,370,634 2,343,238 (97,384) BERKSHIRE HATHAWAY INC CL B $108,328,382 954,351 (129,509) BEST BUY INC COM $105,201,075 2,805,362 (157,623) MARATHON OIL CORP COM $103,130,184 2,956,714 (373,754) GAP INC COM $99,481,611 2,469,752 (99,737) HEALTH MANAGEMENT ASSOCIATES $97,844,275 7,644,084 7,583,709 MERCK & CO INC COM $97,776,603 2,053,742 (1,287,425) PEPSICO INC COM $97,598,096 1,227,649 1,449 WELLPOINT INC COM $94,550,118 1,130,847 729,936 BROCADE COMMUNICATIONS SYSTEMS $93,677,592 11,636,968 (2,380,481) AMERISOURCEBERGEN CORP COM $93,597,135 1,531,868 243,071 EVEREST RE GROUP LTD COM $93,539,781 643,283 (68,871) BIOGEN IDEC INC COM $92,363,240 383,632 (42,976) FIDELITY NATIONAL INFO SERVICE $92,178,756 1,984,900 (50,700) ELAN CORP PLC ADR $91,753,300 5,889,172 5,224,842 TWENTY FIRST CENTURY FOX INC $91,699,076 2,736,469 2,736,469 * LIFE TECHNOLOGIES CORP COM $90,318,837 1,206,987 356,490 WHIRLPOOL CORP COM $88,303,027 602,998 (18,116) ASSURANT INC COM $87,788,341 1,622,705 (96,777) ACTIVISION BLIZZARD INC COM $87,408,738 5,240,332 788,895 UNUM GROUP COM $87,150,511 2,863,026 (134,789) PPG INDUSTRIES INC COM $86,973,942 520,615 23,236 BOEING CO COM $86,539,338 736,505 493,293 CF INDUSTRIES HOLDINGS INC CO $84,844,106 402,429 (164,569) LENDER PROCESSING SERVICES INC $83,915,790 2,522,266 902,566 MARVELL TECHNOLOGY GROUP LTD $83,228,916 7,237,297 (168,796) EXPRESS SCRIPTS HOLDING CO CO $81,876,719 1,324,866 (2,307) SLM CORP COM $80,550,554 3,234,962 (373,801) SEAGATE TECHNOLOGY PLC COM $80,407,687 1,837,470 (1,513,770) ANADARKO PETROLEUM CORP COM $79,922,487 859,474 247,369 DTE ENERGY CO COM $79,871,693 1,210,544 (17,365) VIACOM INC CL B $76,327,513 913,227 89,667 RAYTHEON CO COM $75,977,302 985,822 (164,431) NVIDIA CORP COM $75,379,969 4,844,471 9,289 CAREFUSION CORP COM $74,795,193 2,026,970 246,370 MACYS INC COM $74,471,002 1,721,077 (171,978) HUMANA INC COM $72,412,507 775,876 (161,158) OCCIDENTAL PETROLEUM CORP COM $71,125,197 760,372 392,094 TAIWAN SEMICONDUCTOR MFG CO LT $70,953,212 4,183,562 (1,155,600) STRYKER CORP COM $70,875,280 1,048,606 (133,783) LOWES COS INC COM $70,161,762 1,473,677 (291,409) DILLARDS INC CL A $70,054,227 894,690 6,299 ALLSTATE CORP COM $69,786,246 1,380,539 (34,362) CA INC COM $69,229,041 2,333,301 (398,599) COOPER TIRE & RUBBER CO COM $69,150,466 2,245,145 1,964,423 MONSANTO CO COM $65,005,185 622,834 (470,616) TIME WARNER INC COM $64,662,668 982,566 (158,296) SHFL ENTERTAINMENT INC COM $64,535,800 2,809,569 2,782,569 METLIFE INC COM $63,850,967 1,359,978 128,976 INFOSYS LTD ADR $63,799,393 1,326,115 (197,300) COMCAST CORP CL A $63,447,931 1,406,360 (453,513) AVERY DENNISON CORP COM $62,944,847 1,446,343 (6,157) STEWART ENTERPRISES INC CL A $62,765,686 4,773,056 3,160,175 FIRST SOLAR INC COM $62,591,891 1,556,625 350,219 3M CO COM $62,374,530 522,356 (24,241) OWENS ILLINOIS INC COM $61,921,714 2,062,682 41,880 DELTA AIR LINES INC COM $61,550,155 2,609,163 (52,059) CABOT OIL & GAS CORP CL A $59,947,527 1,606,311 (169,433) WALT DISNEY CO COM $59,568,059 923,679 (101,246) TIME WARNER CABLE INC COM $59,561,032 533,701 110,445 ORACLE CORP COM $58,574,405 1,765,885 89,012 AXIS CAPITAL HOLDINGS LTD COM $58,536,194 1,351,563 44,273 JM SMUCKER CO COM $58,049,726 552,644 141,904 KLA TENCOR CORP COM $58,007,879 953,293 (169,090) HERSHEY CO COM $57,604,005 622,746 54,737 ALASKA AIR GROUP INC COM $57,578,401 919,489 (32,100) COMERICA INC COM $57,563,913 1,464,358 (4,645) XEROX CORP COM $57,496,929 5,587,651 (525,549) AMERICA MOVIL SAB DE CV ADR L $57,435,291 2,899,308 1,554,900 WALGREEN CO COM $57,371,405 1,066,383 (422,639) MANPOWERGROUP COM $57,133,997 785,455 (12,371) HARRIS TEETER SUPERMARKETS INC $56,533,231 1,149,283 1,119,383 AMAZON.COM INC COM $56,023,212 179,194 (23,155) FORD MOTOR CO COM $55,527,959 3,291,521 856,192 NV ENERGY INC COM $55,229,055 2,339,223 866,554 KROGER CO COM $54,960,346 1,362,428 163,593 CAPLEASE INC COM $54,737,840 6,447,331 5,932,072 TIMKEN CO COM $54,638,202 904,606 (131,257) PHILLIPS 66 COM $53,973,235 933,470 178,818 ALTRIA GROUP INC COM $53,582,531 1,559,899 (36,384)
1 Year Lender Processing Services, Lender Processing Services, Chart |
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