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EVRI

Everi Holdings

Delisted

EVRI was delisted on the 30th of June, 2025.

152 hedge funds and large institutions have $490M invested in Everi Holdings in 2013 Q3 according to their latest regulatory filings, with 25 funds opening new positions, 54 increasing their positions, 54 reducing their positions, and 11 closing their positions.

New
Increased
Maintained
Reduced
Closed

127% more first-time investments, than exits

New positions opened: 25 | Existing positions closed: 11

19% more capital invested

Capital invested by funds: $412M → $490M (+$77.7M)

9% more funds holding

Funds holding: 140152 (+12)

0% more repeat investments, than reductions

Existing positions increased: 54 | Existing positions reduced: 54

3.4% less ownership

Funds ownership: 99.38%95.98% (-3.4%)

100% less call options, than puts

Call options by funds: $0 | Put options by funds: $130K

Holders
152
Holders Change
+12
Holders Change %
+8.57%
% of All Funds
4.93%
Holding in Top 10
2
Holding in Top 10 Change
+2
Holding in Top 10 Change %
% of All Funds
0.06%
New
25
Increased
54
Reduced
54
Closed
11
Calls
Puts
$130K
Net Calls
-$130K
Net Calls Change
-$130K
Name Holding Trade Value Shares
Change
Change in
Stake
HCM
1
Huber Capital Management
California
$47.9M -$1.4M -189,872 -3%
Ameriprise
2
Ameriprise
Minnesota
$31.6M -$488K -66,050 -2%
OCG
3
Opus Capital Group
Ohio
$31.1M +$5.16M +697,624 +21%
Wellington Management Group
4
Wellington Management Group
Massachusetts
$26.8M +$1.31M +176,896 +5%
BIT
5
BlackRock Institutional Trust
California
$21.8M +$255K +34,498 +1%
Vanguard Group
6
Vanguard Group
Pennsylvania
$16.8M +$392K +52,982 +3%
EVM
7
Eaton Vance Management
Massachusetts
$15.8M -$437K -59,029 -3%
TSW
8
Thompson Siegel & Walmsley
Virginia
$15.6M -$5.51M -745,055 -27%
BFA
9
BlackRock Fund Advisors
California
$14.8M +$1.48M +199,805 +12%
D.E. Shaw & Co
10
D.E. Shaw & Co
New York
$13.5M +$714K +96,487 +6%
Dimensional Fund Advisors
11
Dimensional Fund Advisors
Texas
$12.7M +$184K +24,832 +2%
PCM
12
Palisade Capital Management
New Jersey
$12.5M -$18.2K -2,460 -0.2%
PCMF
13
Private Capital Management (Florida)
Florida
$11.6M -$7.76M -1,049,712 -41%
State Street
14
State Street
Massachusetts
$10.8M -$69.5K -9,392 -0.7%
CSC
15
Cove Street Capital
California
$10.6M -$808K -109,255 -7%
KCM
16
Kennedy Capital Management
Missouri
$10.4M -$581K -78,619 -6%
RFC
17
Russell Frank Company
Washington
$9.64M +$3.71M +501,564 +68%
CCMLC
18
Cardinal Capital Management LLC (Connecticut)
Connecticut
$8.32M -$1.32M -178,420 -14%
Northern Trust
19
Northern Trust
Illinois
$8.22M +$172K +23,222 +2%
GIM
20
Granahan Investment Management
Massachusetts
$7.59M -$14.2M -1,915,260 -66%
Renaissance Technologies
21
Renaissance Technologies
New York
$7.07M -$4.51M -609,700 -40%
PCM
22
Perritt Capital Management
Illinois
$6.19M -$1.29K -175 -0%
BA
23
BlackRock Advisors
Delaware
$5.75M -$1.55M -208,996 -22%
PI
24
Putnam Investments
Massachusetts
$5.52M +$3.7M +500,098 +242%
RMCP
25
Red Mountain Capital Partners
California
$5.1M +$4.83M +653,000 New

EVRI Hedge Fund Activity: Q3 2013 in Review

152 of the 3,084 institutional investors tracked by Wall St. Rank reported a position in Everi Holdings (EVRI) for Q3 2013, worth a combined $490M — up 19% from $412M a quarter earlier.

Buyers outnumbered sellers: 25 funds opened new EVRI positions and 11 closed out — a net gain of 14 holders — while 54 added to existing stakes and 54 trimmed.

The largest buyer was Opus Capital Group, adding an estimated $5.16M. The largest seller was Granahan Investment Management, cutting an estimated $14.2M.

  • 152 institutional investors held Everi Holdings (EVRI) as of Q3 2013, up from 140 in Q2 2013.
  • Funds reported $490M of Everi Holdings stock for Q3 2013, up 19% quarter-over-quarter.
  • 25 funds opened new Everi Holdings positions in Q3 2013 and 11 closed out, a net change of +14 holders.
  • The largest Everi Holdings buyer in Q3 2013 was Opus Capital Group, an estimated $5.16M added.
  • The largest Everi Holdings seller in Q3 2013 was Granahan Investment Management, an estimated $14.2M sold.

Based on aggregated 13F filings for Q3 2013.