Smithfield Foods, Inc. Institutional Ownership

SFD 
$25.52
*  
0.27
  negative  
1.05%
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*Delayed - data as of May 22, 2013 
Exchange: NYSE
Industry: Consumer Non-Durables
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Company Details

Institutional Ownership
Type Value
Total Shares Out Standing (millions): 139
Market Capitalization ($ millions): $3,207
Institutional Ownership: 89.63%
Price (as of 03/31/2013) 25.79

Ownership Summary

Ownership Analysis # of Holders Shares
Total Shares Held: 314 124,368,263
New Positions: 45 7,069,208
Increased Positions: 145 22,140,357
Decreased Positions: 141 18,112,325
Holders With Activity: 286 40,252,682
Sold Out Positions: 38 4,697,997

Institutional Holdings information for SFD 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.


314 Institutional Holders
124,368,263 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)
VANGUARD GROUP INC 03/31/2013 6,472,888 (48,612) (0.75) 166,936
LSV ASSET MANAGEMENT 03/31/2013 5,818,284 121,259 2.13 150,054
ACADIAN ASSET MANAGEMENT LLC 03/31/2013 5,125,358 655,445 14.66 132,183
SOUTHERNSUN ASSET MANAGEMENT, LLC 03/31/2013 4,815,986 315,235 7.00 124,204
RUSSELL FRANK CO/ 03/31/2013 4,258,333 (667,155) (13.55) 109,822
JPMORGAN CHASE & CO 03/31/2013 4,182,014 1,386,045 49.57 107,854
STATE STREET CORP 03/31/2013 3,836,995 (45,371) (1.17) 98,956
CAISSE DE DEPOT ET PLACEMENT DU QUEBEC 03/31/2013 3,600,000 (1,400,000) (28) 92,844
BARCLAYS GLOBAL INVESTORS UK HOLDINGS LTD 03/31/2013 3,541,708 (525,810) (12.93) 91,341
DIMENSIONAL FUND ADVISORS LP 03/31/2013 3,471,263 (27,315) (0.78) 89,524
ADAGE CAPITAL PARTNERS GP LLC 03/31/2013 3,440,638 440,872 14.70 88,734
FMR LLC 03/31/2013 3,436,600 (100,086) (2.83) 88,630
ALLIANCEBERNSTEIN L.P. 03/31/2013 3,273,231 2,086,166 175.74 84,417
BLACKROCK FUND ADVISORS 03/31/2013 2,862,040 67,057 2.40 73,812
CITIGROUP INC 03/31/2013 2,843,366 611,134 27.38 73,330