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CODE

SPANSION INC, CLASS A COMMON STOCK
CODE

Delisted

CODE was delisted on the 12th of March, 2015.

Name Holding Trade Value Shares
Change
Change in
Stake
MC
126
Menta Capital
California
$750K +$138K +6,500 +25%
GCP
127
GSA Capital Partners
United Kingdom
$733K -$77.3K -3,641 -10%
PM
128
Platinum Management
New York
$656K +$612K +28,800 New
State Board of Administration of Florida Retirement System
129
State Board of Administration of Florida Retirement System
Florida
$638K
VOYA Investment Management
130
VOYA Investment Management
Georgia
$623K
SFP
131
Santa Fe Partners
New Mexico
$583K +$543K +25,570 New
UBS AM
132
UBS AM
Illinois
$549K
ProShare Advisors
133
ProShare Advisors
Maryland
$547K -$115K -5,438 -18%
TC
134
TFS Capital
Pennsylvania
$511K +$250K +11,774 +110%
OA
135
Oak Associates
Ohio
$505K
NI
136
Numeric Investors
Massachusetts
$495K +$461K +21,700 New
BAAM
137
Baker Avenue Asset Management
California
$465K +$63.3K +2,980 +17%
BLM
138
Bennett Lawrence Management
New York
$459K +$67.6K +3,185 +19%
MTIM
139
Marathon Trading Investment Management
Pennsylvania
$435K +$406K +19,100 New
BJ
140
BlackRock Japan
Japan
$433K +$328K +15,442 +433%
FNYS
141
First New York Securities
New York
$403K +$152K +7,140 +71%
BIM
142
Bogle Investment Management
Massachusetts
$394K +$368K +17,329 New
TDC
143
Thompson Davis & Co
Virginia
$392K +$5.22K +246 +1%
Tudor Investment Corp
144
Tudor Investment Corp
Connecticut
$383K +$357K +16,801 New
FMA
145
FNY Managed Accounts
New York
$342K +$318K +15,000 New
AGM
146
Alpine Global Management
New York
$324K +$302K +14,200 New
Los Angeles Capital Management
147
Los Angeles Capital Management
California
$308K -$466K -21,948 -62%
Principal Financial Group
148
Principal Financial Group
Iowa
$295K
PP
149
Paloma Partners
Connecticut
$294K +$274K +12,900 New
CC
150
Cipher Capital
New York
$280K -$376K -17,690 -59%