Outlier Hedge Fund Sells

Stock Fund Market Value Change
in Stake
Shares
401
AF
401
Allworth Financial
California
$355M -95% 7,050,709
402
Capital World Investors
402
Capital World Investors
California
$354M Closed 1,019,216
403
Tiger Global Management
403
Tiger Global Management
New York
$353M -83% 4,809,031
404
Bank of America
404
Bank of America
North Carolina
$353M -56% 6,990,523
405
Citadel Advisors
405
Citadel Advisors
Florida
$352M -60% 6,300,930
406
Janus Henderson Group
406
Janus Henderson Group
United Kingdom
$352M -51% 12,612,144
407
SVCF
407
Silicon Valley Community Foundation
California
$352M Closed 2,852,311
408
Barclays
408
Barclays
United Kingdom
$352M -80% 3,094,447
409
AWA
409
Arete Wealth Advisors
Illinois
$352M -61% 30,876
410
OTPPB
410
Ontario Teachers' Pension Plan Board
Ontario, Canada
$351M Closed 2,138,516
411
NL
411
NEPC LLC
Massachusetts
$351M -57% 4,664,117
412
IMC Chicago
412
IMC Chicago
Illinois
$350M Closed 979,291
413
Adage Capital Partners
413
Adage Capital Partners
Massachusetts
$349M Closed 2,308,014
414
Morgan Stanley
414
Morgan Stanley
New York
$348M Closed 7,936,772
415
VH
415
ValueAct Holdings
California
$347M -52% 6,500,000
416
BlackRock
416
BlackRock
New York
$347M Closed 16,599,691
417
Hudson Bay Capital Management
417
Hudson Bay Capital Management
Connecticut
$347M -92% 2,667,000
418
KKRC
418
Kohlberg Kravis Roberts & Co
New York
$346M Closed 32,842,184
419
Fidelity Investments
419
Fidelity Investments
Massachusetts
$346M -70% 4,643,634
420
Viking Global Investors
420
Viking Global Investors
Connecticut
$346M -60% 10,992,364
421
Eagle Capital Management (New York)
421
Eagle Capital Management (New York)
New York
$345M -100% 4,160,789
422
Viking Global Investors
422
Viking Global Investors
Connecticut
$345M Closed 2,400,649
423
CIAS
423
CFS Investment Advisory Services
New Jersey
$345M -99% 3,028,984
424
Viking Global Investors
424
Viking Global Investors
Connecticut
$345M -88% 3,287,376
425
Susquehanna International Group
425
Susquehanna International Group
Pennsylvania
$344M -55% 5,306,691