We are live on ! Find out more
IDTI

Integrated Device Technology I
IDTI

Delisted

IDTI was delisted on the 29th of March, 2019.

Name Holding Trade Value Shares
Change
Change in
Stake
Goldman Sachs
51
Goldman Sachs
New York
$18.8M +$1.89M +73,877 +12%
Invesco
52
Invesco
Georgia
$18.4M +$5.39M +210,370 +43%
TCIM
53
TIAA CREF Investment Management
New York
$17.8M -$267K -10,416 -2%
CCM
54
Cupps Capital Management
Illinois
$17.3M +$3.09M +120,542 +22%
American Century Companies
55
American Century Companies
Missouri
$17.2M -$231K -9,018 -1%
GC
56
Guggenheim Capital
Illinois
$16.8M +$14.2M +554,244 +652%
PC
57
Polar Capital
United Kingdom
$16.6M -$10.6M -415,473 -40%
WRF
58
Waddell & Reed Financial
Kansas
$15.4M
NCGI
59
Next Century Growth Investors
Minnesota
$15.4M +$14.9M +582,893 New
D.E. Shaw & Co
60
D.E. Shaw & Co
New York
$14.7M +$7.65M +298,638 +114%
Charles Schwab
61
Charles Schwab
California
$14.4M +$396K +15,434 +3%
California Public Employees Retirement System
62
California Public Employees Retirement System
California
$12.4M +$364K +14,200 +3%
BA
63
BlackRock Advisors
Delaware
$12.2M +$36.8K +1,437 +0.3%
Principal Financial Group
64
Principal Financial Group
Iowa
$12.2M -$42.3K -1,652 -0.4%
PAM
65
Panagora Asset Management
Massachusetts
$11.5M +$3.12M +121,540 +39%
New York State Common Retirement Fund
66
New York State Common Retirement Fund
New York
$11.5M -$4.14M -161,384 -27%
NAM
67
Nichols Asset Management
Massachusetts
$11.4M -$30.5K -1,191 -0.3%
VCM
68
Venator Capital Management
Ontario, Canada
$11M -$892K -34,800 -8%
JP Morgan Chase
69
JP Morgan Chase
New York
$10.8M -$672K -26,227 -6%
NFA
70
Nationwide Fund Advisors
Ohio
$10.6M +$209K +8,159 +2%
Royal Bank of Canada
71
Royal Bank of Canada
Ontario, Canada
$10.4M +$8.49M +331,184 +528%
CPIM
72
Columbia Partners Investment Management
Virginia
$10.2M -$262K -10,208 -3%
ZIM
73
Zacks Investment Management
Illinois
$9.96M +$229K +8,931 +2%
AIG
74
American International Group
New York
$9.66M -$289K -11,293 -3%
MCM
75
McKinley Capital Management
Alaska
$9.57M -$2.27M -88,553 -20%