The Stock Index13F Holders86020 enriched tickers

Stocks

Every security held by an SEC 13F filer — sorted by institutional ownership and sliced by sector, holder churn, and recent activist activity. 86020 enriched tickers · Source: SEC EDGAR.

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Ranked by market capShowing rows 1742517472 of 86020 enriched
Source: SEC EDGAR · 13F-HR
#StockSectorMkt cap
17425
NATIONAL PROCESSING INC Common #
17426
GARAN INC Common #
17427
USAGB 0 PERP 144AD US AGBANK FCB PREFER STK
17428
ZILOG INC Common #
17429
BRX 8.625 PERP +BNEW PLAN EXCEL RLTY PFD B Common #
17430
CRE 8.57 PERP BCARRAMERICA REALTY PFD B Common #
17431
YORK GROUP INC Common #
17432
SPG 6.5 PERP BSIMON PROPERTY GROUP PREF B Common #
17433
RIGHT MANAGEMENT CONSULTANTS Common #
17434
QUAKER CITY BANCORP INC Common #
17435
PACIFIC CREST CAP INC Common #
17436
MAXWELL SHOE INC Common #
17437
IRT PPTY CO Common #
17438
HUNT CORP Common #
17439
EDELBROCK CORP Common #
17440
COLORADO MEDTECH, INC. Common #
17441
BANGOR HYDRO ELEC CO Common #
17442
40 / 86 STRATEGIC INCOME FD SH BEN INT
17443
BLACKROCK FL INSD MUN 2008 T
17444
American Insured Mtg. Inv. Ser. 88 Equity
17445
TERN 5 08/01/07TERAYON COMMUNICATION SYS CBONDCNV
17446
NOC 7.25 11/16/04NORTHROP GRUMMAN CORP COMMON
17447
TBI 6.25 06/15/07LABOR READY INC CBONDCNV
17448
CNXT 5.25 05/15/06GLOBESPAN INC CBONDCNV
17449
EOP V7.25 11/15/08***EOP OPER LTD PARTNERSHIP CBONDCNV
17450
IFXGR 3.75 07/01/05CYPRESS SEMICONDUCTOR CORP CBONDCNV
17451
VRNT 1.5 12/01/05***COMVERSE TECHNOLOGY INC CBONDCNV
17452
BFCF 8.25 05/15/12BLUEGREEN CORP SUB DEB CV CBONDCNV
17453
AETINC 5.5 08/15/10ARTESYN TECHNOLOGIES INC CBONDCNV
17454
TMO 2.25 10/15/21 +*APOGENT TECHNOLOGIES INC CBONDCNV
17455
AMKR 5.75 06/01/06AMKOR TECH INC CBONDCNV
17456
GERMANY FUND INC COMMON
17457
COLLECTING BANK N.A.
17458
VARITRONIX INTL ADR
17459
SMARTONE TELECOM HLDGS
17460
ESPIRITO SANTO FNL HLDG SPON A
17461
EASTGROUP PROPERTY MD CORP
17462
WYETH CVT SR NOTES FLOAT 01/15/20983024AD2 24135
17463
VORNADO REALTY CVT SR DEBS(II) 3.625% 11-15-2929043AE7 30706
17464
UAL CORP CVT SR NTS 144A 4.500% 06-30-2021902549AG9 14250
17465
TRIUMPH GROUP CVT SR NTS 144A 2.625% 10-01-2026896818AA9 12379
17466
TRINITY INDUSTRIES INC CSN 3.875% 06-01-2896522AF6 15180
17467
TEVA PHARM CVT SR NOTES "D" 1.750% 02-01-288165FAA0 20301
17468
TEVA PHARM CVT SR NOTES "A" 0.500% 02-01-288164RAA5 11827
17469
SYMANTEC CORP CVT SR NTS 144A 0.750% 06-15-2011871503AC2 26128
17470
SYBASE INC CVT SUB NOTES 1.750% 02-22-2025871130AB6 23412
17471
SUNPOWER CORP CVT SR NOTES 1.250% 02-15-2867652AA7 11355
17472
SEALED AIR CVT SR NTS 144A 3.000% 06-30-20381211KAG5 15775
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