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 1747317520 of 86020 enriched
Source: SEC EDGAR · 13F-HR
#StockSectorMkt cap
17473
ROCHE HOLDINGS CVT NTS 144A 0.000% 07-25-2771196AK8 13919
17474
QUANTA SERVICES CSN 144A (III) 3.750% 04-30-274762EAD4 15179
17475
PRUDENTIAL FIN CVT SR NOTES FLOAT 11-15-20744320AC6 38322
17476
PMC-SIERRA INC CVT SR NOTES 2.250% 10-15-269344FAD8 16696
17477
ON SEMI CVT SR SUB NT "B"(NEW) 0.000% 04-15-2682189AE5 12335
17478
OMNICOM GROUP CVT SR NOTES 0.000% 07-01-2681919AT3 40625
17479
NABORS INDS CVT SR NOTES (III) 0.000% 06-15-2629568AL0 32137
17480
MILLIPORE CORP CVT SR NOTES 3.750% 06-01-2601073AD1 22100
17481
MEDTRONIC INC CVT SR NTS "A" 1.500% 04-15-2585055AL0 48028
17482
MEDIMMUNE INC CVT SR NTS "A" 1.375% 07-15-2584699AG7 15930
17483
LUCENT-ALCATEL CVT SR DEBS "B" 2.875% 06-15-2549463AH0 29012
17484
LUCENT-ALCATEL CVT SR DEBS "A" 2.875% 06-15-2549463AG2 24166
17485
LOCKHEED MARTIN CVT SR NTS FLOAT 08-15-203539830AP4 20387
17486
LIBERTY MEDIA / TWX EXCH 0.750% 03-30-2530718AF2 30423
17487
LIBERTY MEDIA / MOT EXCH NTS 3.500% 01-15-2530715AN1 8522
17488
LEVEL 3 COMM CVT SR NOTES 2.875% 07-15-252729NBA7 23296
17489
L-3 COMM HLDGS CVT SR NTS 3.000% 08-01-2035502413AW7 25917
17490
JUNIPER NETWORKS CVT SR NTS 0.000% 06-15-248203RAC8 27828
17491
INTL GAME TECH CVT SR DEB 144A 2.600% 12-15-203459902AN2 24827
17492
INTEL CORP JR SUB CVT DEB 2.950% 12-15-2458140AD2 29886
17493
HOST HOTELS CVT SR NTS 144A 2.625% 04-15-244107TAE6 11054
17494
HALLIBURTON CO CVT SR NOTES 3.125% 07-15-2406216AM3 17853
17495
GOLDMAN SACHS / TPX EXCH NTS 0.125% 06-28-238141GEN0 23427
17496
GILEAD SCI CVT SR NTS "A" 0.500% 05-01-2375558AG8 26324
17497
GILEAD SCI CVT SR NTS 144A "B" 0.625% 05-01-2013375558AF0 28651
17498
GENZYME CORP CVT SR NTS 1.250% 12-01-2372917AN4 37857
17499
GENERAL CABLE CVT SR NOTES 0.875% 11-15-2369300AD0 18763
17500
FORD MOTOR CO CVT SR NOTES 4.250% 12-15-2345370CF5 43547
17501
EASTMAN KODAK CVT SR NTS 3.375% 10-15-2277461BE8 20165
17502
EMC CORP CVT SR NOTES "B" 144A 1.750% 12-01-2013268648AL6 25279
17503
EMC CORP CVT SR NOTES "A" 144A 1.750% 12-01-2011268648AJ1 24909
17504
DOMINION RESOURCES CVT SR NTS 2.125% 12-15-225746UAT6 20875
17505
DISNEY WALT CO CVT SR NTS 2.125% 04-15-2254687AU0 36964
17506
DEVON ENERGY CORP CVT SUB NTS 4.900% 08-15-225179MAA1 18661
17507
CYPRESS SEMICON CVT SR NT 144A 1.000% 09-15-2232806AJ8 17733
17508
COVANTA HOLDING CVT SR DEB 1.000% 02-01-222282EAA0 14506
17509
CORE LABS LP CVT SR NOTES 144A 0.250% 10-31-201121868FAA1 11444
17510
CITI / PHARMA BASKET EXCH NTS 0.125% 09-07-21730T0AW9 12483
17511
CHESAPEAKE ENERGY CSN 2.750% 11-15-2165167BW6 17431
17512
CARNIVAL CORP CVT SR DEBS 1.132% 04-29-2143658AV4 38527
17513
CSX CORP CVT SR DEBS 0.000% 10-30-2126408GA5 16837
17514
BOSTON PROP LP CVT SR NTS 144A 2.875% 02-15-210112RAH7 23496
17515
BECKMAN COULTER CVT SR NT 144A 2.500% 12-15-2036075811AC3 20050
17516
ARCHSTONE-SMITH CVT SR NOTES 4.000% 07-15-2039584AC1 21532
17517
ARCHER DANIELS CVT SR NTS 144A 0.875% 02-15-2039483AV4 22001
17518
AMGEN INC CVT SR NTS "A" 0.125% 02-01-2031162AN0 12468
17519
AMGEN INC CVT SR NTS "A" 144A 0.125% 02-01-2011031162AM2 18642
17520
AMDOCS LIMITED CVT SUB NT II 0.500% 03-15-202342TAD1 33072
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