AVP

Avon Products, Inc.
AVP

Delisted

AVP was delisted on the 3rd of January, 2020.

374 hedge funds and large institutions have $5.95B invested in Avon Products, Inc. in 2014 Q2 according to their latest regulatory filings, with 45 funds opening new positions, 129 increasing their positions, 130 reducing their positions, and 53 closing their positions.

New
Increased
Maintained
Reduced
Closed
Holders
374
Holders Change
-12
Holders Change %
-3.11%
% of All Funds
10.76%
Holding in Top 10
1
Holding in Top 10 Change
-1
Holding in Top 10 Change %
-50%
% of All Funds
0.03%
New
45
Increased
129
Reduced
130
Closed
53
Calls
$69.9M
Puts
$137M
Net Calls
-$66.6M
Net Calls Change
-$65.4M
Name Holding Trade Value Shares
Change
Shares
Change %
YL
351
YCG LLC
Texas
$11K +$11K +726 New
M&T Bank
352
M&T Bank
New York
$10K
MCM
353
McGlinn Capital Management
Pennsylvania
$10K
EFSCE
354
Enterprise Financial Services Corp (EFSC)
Missouri
$9K +$4.72K +297 +110%
VIA
355
Vantage Investment Advisors
Pennsylvania
$7K
AP
356
Atwood & Palmer
Missouri
$7K +$7K +500 New
WTB
357
Washington Trust Bank
Washington
$6K
S
358
SignatureFD
Georgia
$6K
CWM
359
Cranbrook Wealth Management
Michigan
$6K
MPWT
360
MassMutual Private Wealth & Trust
Connecticut
$5.99K
RFA
361
Reilly Financial Advisors
California
$5K
MCM
362
Manchester Capital Management
Vermont
$4K -$11.6K -703 -74%
DOA
363
D'Orazio & Associates
Virginia
$4K
WA
364
Waverly Advisors
Alabama
$3K -$3.05K -191 -50%
CTC
365
Central Trust Company
Missouri
$3K
PFSC
366
Peoples Financial Services Corp
Pennsylvania
$2K
GAM
367
Gemmer Asset Management
California
$2K +$16 +1 +0.8%
CAW
368
Cornerstone Advisors (Washington)
Washington
$2K +$2K +115 New
TIM
369
Tortoise Investment Management
New York
$2K +$2K +159 New
WEC
370
Winslow Evans & Crocker
Massachusetts
$1.21K
Bessemer Group
371
Bessemer Group
New Jersey
$1K -$4.55K -300 -82%
CFN
372
Cordasco Financial Network
Florida
$1K
TWA
373
TCI Wealth Advisors
Arizona
$1K
WA
374
WFG Advisors
Texas
$1K +$424 +42 +74%
CB
375
Cooke & Bieler
Pennsylvania
-$44.1M -3,014,164 Closed