Advanced Micro Devices, Inc. Institutional Ownership

AMD 
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0.08
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Exchange: NYSE
Industry: Technology
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Ownership Summary Institutional Holdings Insiders
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Company Details

Institutional Ownership
Type Value
Total Shares Out Standing (millions): 762
Total Value of Holdings ($ millions): $1,250
Institutional Ownership: 37.53%
Price (as of 06/30/2014) 4.37

Ownership Summary

Ownership Analysis # of Holders Shares
Total Shares Held: 265 285,976,728
New Positions: 38 22,586,340
Increased Positions: 107 52,000,033
Decreased Positions: 111 26,150,553
Holders With Activity: 218 78,150,586
Sold Out Positions: 27 7,736,547

Institutional Holdings information for AMD is filed by major institutions on form 13-F with the Securities and Exchange Commission. Learn more about the information on this page in the help area for Institutional Holdings.

265 Institutional Holders
285,976,728 Total Shares Held

Click on the column header links to resort ascending (▲) or descending (▼).
Owner Name Date Shared Held Change (Shares) Change (%) Value (in 1,000s)
GEODE CAPITAL MANAGEMENT, LLC 03/31/2014 2,975,128 88,327 3.06 13,001
CALIFORNIA PUBLIC EMPLOYEES RETIREMENT SYSTEM 03/31/2014 2,771,722 253,498 10.07 12,112
GROUP ONE TRADING, L.P. 03/31/2014 2,684,435 1,593,792 146.13 11,731
PARAMETRIC PORTFOLIO ASSOCIATES LLC 03/31/2014 2,604,171 (61,749) (2.32) 11,380
GOLDMAN SACHS GROUP INC 03/31/2014 2,595,381 (308,009) (10.61) 11,342
BANK OF AMERICA CORP /DE/ 03/31/2014 2,406,522 (1,144,440) (32.23) 10,517
CITIGROUP INC 03/31/2014 2,313,368 (83,342) (3.48) 10,109
SPOT TRADING L.L.C 03/31/2014 1,848,073 595,498 47.54 8,076
BARCLAYS PLC 03/31/2014 1,827,931 (300,609) (14.12) 7,988
TIAA CREF INVESTMENT MANAGEMENT LLC 03/31/2014 1,765,283 (87,714) (4.73) 7,714
BLACKROCK INVESTMENT MANAGEMENT, LLC 03/31/2014 1,697,224 (19,705) (1.15) 7,417
NEW YORK STATE COMMON RETIREMENT FUND 03/31/2014 1,663,505 (919,700) (35.6) 7,270
AVIVA PLC 03/31/2014 1,616,727 (94,533) (5.52) 7,065
JPMORGAN CHASE & CO 03/31/2014 1,610,750 238,513 17.38 7,039
AXA 03/31/2014 1,595,500 244,400 18.09 6,972