We are live on ! Find out more
CHNG

Change Healthcare Inc. Common Stock

Delisted

CHNG was delisted on the 30th of September, 2022.

279 hedge funds and large institutions have $6.17B invested in Change Healthcare Inc. Common Stock in 2021 Q3 according to their latest regulatory filings, with 32 funds opening new positions, 100 increasing their positions, 95 reducing their positions, and 32 closing their positions.

New
Increased
Maintained
Reduced
Closed

114% more funds holding in top 10

Funds holding in top 10: 715 (+8)

5% more repeat investments, than reductions

Existing positions increased: 100 | Existing positions reduced: 95

0% more first-time investments, than exits

New positions opened: 32 | Existing positions closed: 32

1% less funds holding

Funds holding: 282279 (-3)

9% less capital invested

Capital invested by funds: $6.74B → $6.17B (-$575M)

73% less call options, than puts

Call options by funds: $9.16M | Put options by funds: $33.9M

Holders
279
Holders Change
-3
Holders Change %
-1.06%
% of All Funds
4.88%
Holding in Top 10
15
Holding in Top 10 Change
+8
Holding in Top 10 Change %
+114.29%
% of All Funds
0.26%
New
32
Increased
100
Reduced
95
Closed
32
Calls
$9.16M
Puts
$33.9M
Net Calls
-$24.7M
Net Calls Change
-$4.61M
Name Holding Trade Value Shares
Change
Change in
Stake
BBHC
276
Brown Brothers Harriman & Co
New York
$729 -$26.4K -1,210 -3%
UOC
277
UBS O'Connor
Illinois
-$102M -4,413,561 Closed
Renaissance Technologies
278
Renaissance Technologies
New York
-$19.4M -844,004 Closed
Jennison Associates
279
Jennison Associates
New York
-$14.6M -633,963 Closed
LP
280
LMR Partners
United Kingdom
-$7.85M -340,683 Closed
PMAM
281
Picton Mahoney Asset Management
Ontario, Canada
-$7.49M -325,000 Closed
E
282
Ergoteles
New York
-$7.28M -315,880 Closed
NM
283
Newtyn Management
New York
-$3.46M -150,002 Closed
MWNA
284
Marshall Wace North America
New York
-$2M -86,954 Closed
GAM
285
Gotham Asset Management
New York
-$1.7M -73,699 Closed
VI
286
Vestcor Inc
New Brunswick, Canada
-$1.1M -47,724 Closed
MS
287
Maven Securities
Jersey
-$704K -30,200 Closed
ECM
288
Engine Capital Management
New York
-$692K -30,000 Closed
SMC
289
S. Muoio & Co
New York
-$691K -30,000 Closed
BPGAM
290
BTG Pactual Global Asset Management
Bermuda
-$638K -27,698 Closed
CCA
291
Cruiser Capital Advisors
Connecticut
-$442K -19,163 Closed
VPIM
292
Vanguard Personalized Indexing Management
California
-$406K -17,613 Closed
XT
293
XTX Topco
Cayman Islands
-$399K -17,312 Closed
GCP
294
GSA Capital Partners
United Kingdom
-$381K -16,524 Closed
Two Sigma Investments
295
Two Sigma Investments
New York
-$356K -15,472 Closed
QTM
296
qPULA Trading Management
New York
-$334K -14,506 Closed
WAM
297
Wolverine Asset Management
Illinois
-$307K -13,325 Closed
Comerica Bank
298
Comerica Bank
Texas
-$278K -13,006 Closed
JF
299
Jump Financial
Illinois
-$265K -11,511 Closed
TI
300
Telemetry Investments
New York
-$265K -11,500 Closed

CHNG Hedge Fund Activity: Q3 2021 in Review

279 of the 5,713 institutional investors tracked by Wall St. Rank reported a position in Change Healthcare Inc. Common Stock (CHNG) for Q3 2021, worth a combined $6.17B — down 8.5% from $6.74B a quarter earlier.

Fund positioning in CHNG was balanced in Q3 2021: 32 funds opened new positions, 32 closed out, 100 added to existing stakes and 95 trimmed.

The largest buyer was AllianceBernstein, adding an estimated $152M. The largest seller was Pentwater Capital Management, cutting an estimated $131M.

  • 279 institutional investors held Change Healthcare Inc. Common Stock (CHNG) as of Q3 2021, down from 282 in Q2 2021.
  • Funds reported $6.17B of Change Healthcare Inc. Common Stock stock for Q3 2021, down 8.5% quarter-over-quarter.
  • 32 funds opened new Change Healthcare Inc. Common Stock positions in Q3 2021 and 32 closed out, a net change of 0 holders.
  • The largest Change Healthcare Inc. Common Stock buyer in Q3 2021 was AllianceBernstein, an estimated $152M added.
  • The largest Change Healthcare Inc. Common Stock seller in Q3 2021 was Pentwater Capital Management, an estimated $131M sold.

Based on aggregated 13F filings for Q3 2021.