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Share Name | Share Symbol | Market | Type |
---|---|---|---|
General Dynamics Corp | TG:GDX | Tradegate | Ordinary Share |
Price Change | % Change | Share Price | Bid Price | Offer Price | High Price | Low Price | Open Price | Shares Traded | Last Trade | |
---|---|---|---|---|---|---|---|---|---|---|
1.25 | 0.49% | 255.55 | 254.90 | 256.10 | 255.70 | 252.95 | 253.35 | 160 | 22:50:16 |
DJ CFA SOURCE: SEC 13F-HR FILER: Chilton Investment Co. LLC QUARTER ENDED: 09/30/2013 SEC RECEIVED: 11/14/2013
Up to 200 of the largest sales of Chilton Investment Co. LLC are listed below, ordered by the number of shares sold during the three months ended Sep. 30.
Company Name Value Holdings Change LKQ CORP COM $63,993,048 2,007,940 (2,124,429) MICRON TECHNOLOGY INC COM $44,465,855 2,545,415 (1,711,831) ATMEL CORP COM $23,022,515 3,094,424 (1,423,837) KKR & CO LP COM UNIT $44,497,438 2,162,169 (1,394,861) FIRST HORIZON NATIONAL CORP C $13,364,730 1,216,081 (1,223,496) PMC SIERRA INC COM $4,846,006 732,025 (1,138,462) SPANSION INC CL A $36,396,063 3,607,142 (1,076,021) AFC ENTERPRISES INC COM $27,464,882 630,073 (968,763) UNILEVER NV NY SH $7,239,939 191,939 (925,543) AVAGO TECHNOLOGIES LTD COM $43,142,078 1,001,441 (923,025) POTASH CORP OF SASKATCHEWAN C $8,179,751 261,501 (630,572) DOLLAR GENERAL CORP COM $143,654,509 2,544,359 (549,441) BLOUNT INTERNATIONAL INC COM $18,020,443 1,488,063 (543,797) MOSAIC CO COM $11,166,615 259,568 (522,434) IMAX CORP COM $2,324,881 76,881 (509,637) BLACKSTONE GROUP LP UNIT $17,995,694 723,009 (287,736) CABOT OIL & GAS CORP CL A $34,940,514 936,241 (254,569) AIRGAS INC COM $98,920,152 932,769 (236,819) SUNTRUST BANKS INC COM $8,977,746 276,920 (223,161) DOLLAR TREE INC COM $35,848,123 627,154 (216,137) NATIONAL OILWELL VARCO INC CO $57,503,723 736,189 (213,013) HOME DEPOT INC COM $88,414,097 1,165,644 (190,648) AGRIUM INC COM $12,720,209 151,377 (168,561) SOUTHWESTERN ENERGY CO COM $29,802,023 819,187 (165,430) CHEVRON CORP COM $27,689,000 227,893 (164,847) YUM BRANDS INC COM $1,219,056 17,076 (152,925) SCHLUMBERGER NV COM $49,635,523 561,742 (146,184) MCDONALDS CORP COM $41,110,437 427,299 (143,918) HALLIBURTON CO COM $35,467,820 736,611 (143,192) BAKER HUGHES INC COM $33,476,135 681,795 (137,357) RANGE RESOURCES CORP COM $38,358,373 505,447 (133,568) ANHEUSER BUSCH INBEV SA ADR $84,871,056 855,555 (133,473) INFOBLOX INC COM $7,192,915 171,997 (124,501) GLOBE SPECIALTY METALS INC CO $13,563,081 880,148 (115,217) DSW INC CL A $27,209,742 318,914 (108,944) COLGATE PALMOLIVE CO COM $44,837,442 756,112 (96,963) SHERWIN WILLIAMS CO COM $147,368,499 808,917 (87,402) FLUOR CORP COM $29,671,782 418,148 (86,043) SUNCOR ENERGY INC COM $15,098,444 421,980 (83,202) OCCIDENTAL PETROLEUM CORP COM $36,866,265 394,123 (81,254) CANADIAN PACIFIC RAILWAY LTD $208,377 1,690 (80,039) EOG RESOURCES INC COM $49,131,150 290,236 (75,869) MARKET VECTORS GOLD MINERS ETF $7,866,688 314,416 (75,646) PIONEER NATURAL RESOURCES CO $50,146,035 265,604 (68,183) GULFPORT ENERGY CORP COM $20,283,378 315,253 (63,695) ROBERT HALF INTERNATIONAL INC $18,071,241 463,009 (61,021) LOWES COS INC COM $3,383,595 71,069 (55,774) HELMERICH & PAYNE INC COM $18,537,070 268,848 (54,401) EAGLE BULK SHIPPING INC COM $2,106,275 293,353 (44,675) DIAMONDBACK ENERGY INC COM $7,992,314 187,437 (41,389) EQT CORP COM $13,008,481 146,624 (28,825) CONCHO RESOURCES INC COM $14,113,745 129,710 (25,210) MONSANTO CO COM $11,947,130 114,469 (23,367) MOUNTAIN PROVINCE DIAMONDS INC $4,090,202 777,605 (10,537) MERCK & CO INC COM $1,490,876 31,315 (1,435) VISA INC CL A $1,464,399 7,663 (1,233) PHILIP MORRIS INTERNATIONAL IN $319,517 3,690 (749) TARGET CORP COM $5,147,511 80,455 (330) WALGREEN CO COM $6,711,012 124,740 (270) INTERNATIONAL BUSINESS MACHINE $2,952,880 15,946 (96) PROCTER & GAMBLE CO COM $5,235,137 69,257 (5)
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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