NVAX

Novavax, Inc. Institutional Ownership

$4.03
*  
0.02
 negative 
0.49%
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*Delayed - data as of Apr. 17, 2014 
Exchange: NASDAQ
Industry: Health Care
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Company Details

Institutional Ownership
Type Value
Total Shares Out Standing (millions): 209
Market Capitalization ($ millions): $463
Institutional Ownership: 55%
Price (as of 03/31/2014) 4.03

Ownership Summary

Ownership Analysis # of Holders Shares
Total Shares Held: 151 114,978,871
New Positions: 27 13,231,584
Increased Positions: 85 31,685,071
Decreased Positions: 52 22,556,037
Holders With Activity: 137 54,241,108
Sold Out Positions: 21 7,292,984

Institutional Holdings information for NVAX 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.

151 Institutional Holders
114,978,871 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)
FMR LLC 12/31/2013 25,127,469 3,542,112 16.41 101,264
RA CAPITAL MANAGEMENT, LLC 12/31/2013 10,811,888 (9,988,112) (48.02) 43,572
BLACKROCK FUND ADVISORS 12/31/2013 7,462,694 1,823,456 32.34 30,075
INVESCO LTD. 12/31/2013 7,081,250 7,081,250 New 28,537
STATE STREET CORP 12/31/2013 6,791,481 4,661,500 218.85 27,370
VANGUARD GROUP INC 12/31/2013 5,483,834 1,202,524 28.09 22,100
BARCLAYS GLOBAL INVESTORS UK HOLDINGS LTD 12/31/2013 5,246,421 921,276 21.30 21,143
WELLINGTON MANAGEMENT CO LLP 12/31/2013 4,823,952 (153,753) (3.09) 19,441
HEALTHCOR MANAGEMENT, L.P. 12/31/2013 4,600,000 1,102,000 31.50 18,538
PRICE T ROWE ASSOCIATES INC /MD/ 12/31/2013 4,270,253 5,553 .13 17,209
CAMBER CAPITAL MANAGEMENT LLC 12/31/2013 3,500,000 (1,211,009) (25.71) 14,105
FRANKLIN RESOURCES INC 12/31/2013 3,280,165 280,165 9.34 13,219
NORTHERN TRUST CORP 12/31/2013 2,518,802 573,719 29.50 10,151
FORESITE CAPITAL MANAGEMENT I, LLC 12/31/2013 1,336,200 1,336,200 New 5,385
AMERIPRISE FINANCIAL INC 12/31/2013 1,327,206 1,318,770 15,632.65 5,349