Pandora Media, Inc. Institutional Ownership

$15.55
*  
0.47
  negative  
3.12%
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*Delayed - data as of Jun. 18, 2013 
Exchange: NYSE
Industry: Consumer Services
Community Rating:
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Company Details

Institutional Ownership
Type Value
Total Shares Out Standing (millions): 175
Market Capitalization ($ millions): $2,703
Institutional Ownership: 102.52%
Price (as of 03/31/2013) 15.08

Ownership Summary

Ownership Analysis # of Holders Shares
Total Shares Held: 201 179,212,216
New Positions: 48 27,421,766
Increased Positions: 106 42,681,244
Decreased Positions: 77 31,207,374
Holders With Activity: 183 73,888,618
Sold Out Positions: 34 18,050,482

Institutional Holdings information for P 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.


106 Increased Institutional Holders
42,681,244 Increased Total Shares Held

Click on the column header links to resort ascending (^) or descending (v).

Owner Name Date Shared Held Change (Shares) Change(%) Value(in 1,000s)
ELLINGTON MANAGEMENT GROUP LLC 03/31/2013 87,000 87,000 New 1,312
NORDEA INVESTMENT MANAGEMENT AB 03/31/2013 81,257 81,257 New 1,225
SCHWAB CHARLES INVESTMENT MANAGEMENT INC 03/31/2013 77,496 14,930 23.86 1,169
GABELLI FUNDS LLC 03/31/2013 77,000 29,000 60.42 1,161
NEUBERGER BERMAN GROUP LLC 03/31/2013 69,618 69,618 New 1,050
CITIGROUP INC 03/31/2013 59,015 43,537 281.28 890
TEACHERS ADVISORS INC 03/31/2013 57,889 4,144 7.71 873
BLACKROCK INVESTMENT MANAGEMENT, LLC 03/31/2013 57,222 16,986 42.22 863
GSA CAPITAL PARTNERS LLP 03/31/2013 54,147 54,147 New 817
UBS GLOBAL ASSET MANAGEMENT AMERICAS INC 03/31/2013 52,230 34,650 197.10 788
GAMCO INVESTORS, INC. ET AL 03/31/2013 47,200 5,200 12.38 712
SEI TRUST CO 03/31/2013 46,700 46,700 New 704
PARAMETRIC PORTFOLIO ASSOCIATES LLC 03/31/2013 45,331 5,298 13.23 684
TOKIO MARINE ASSET MANAGEMENT CO LTD 03/31/2013 28,965 28,965 New 437
RAYMOND JAMES FINANCIAL SERVICES ADVISORS, INC. 03/31/2013 22,600 22,600 New 341