Devon Energy Corporation Institutional Ownership

DVN 
$61.31
*  
1.02
1.69%
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*Delayed - data as of Dec. 19, 2014  -  Find a broker to begin trading DVN now
Exchange: NYSE
Industry: Energy
Community Rating:
 
 
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Ownership Summary Institutional Holdings Insiders
(SEC Form 4)
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Ownership Summary


Institutional Ownership 78.96%
Total Shares Outstanding (millions) 409
Total Value of Holdings (millions) $19,806

Active Positions

Holders Shares
Increased Positions 392 27,683,204
Decreased Positions 407 24,311,061
Held Positions 154 271,047,580
Total Institutional Shares 953 323,041,845

New and Sold Out Positions


Holders Shares
New Positions 57 4,024,364
Sold Out Positions 70 5,023,300

953 Institutional Holders
323,041,845 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)
MITSUBISHI UFJ TRUST & BANKING CORP 09/30/2014 912,447 (7,744) (0.84) 55,942
RUSSELL FRANK CO/ 09/30/2014 900,340 (17,028) (1.86) 55,200
GUGGENHEIM CAPITAL LLC 09/30/2014 890,477 151,283 20.47 54,595
EAGLE ASSET MANAGEMENT INC 09/30/2014 884,562 85,976 10.77 54,232
NORDEA INVESTMENT MANAGEMENT AB 09/30/2014 855,016 64,965 8.22 52,421
ALLIANCEBERNSTEIN L.P. 09/30/2014 836,040 (26,318) (3.05) 51,258
ALLIANZ ASSET MANAGEMENT AG 09/30/2014 827,117 186,311 29.07 50,711
SOUTH DAKOTA INVESTMENT COUNCIL 09/30/2014 816,934 816,934 New 50,086
ADAGE CAPITAL PARTNERS GP LLC 09/30/2014 808,700 (53,500) (6.21) 49,581
ADDISON CLARK MANAGEMENT, L.L.C. 09/30/2014 805,052 (116,101) (12.6) 49,358
CALIFORNIA STATE TEACHERS RETIREMENT SYSTEM 09/30/2014 776,651 30,227 4.05 47,616
MITCHELL GROUP INC 09/30/2014 770,841 9,890 1.30 47,260
MANAGED ACCOUNT ADVISORS LLC 09/30/2014 760,061 (29,237) (3.7) 46,599
FORT WASHINGTON INVESTMENT ADVISORS INC /OH/ 09/30/2014 749,194 25,685 3.55 45,933
HALCYON OFFSHORE ASSET MANAGEMENT LLC 03/31/2014 746,223 (309,927) (29.35) 45,751

Institutional Holdings information for this company is filed by major institutions on form 13-F with the Securities and Exchange Commission.
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