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LCC

US AIRWAYS GROUP INC.
LCC

Delisted

LCC was delisted on the 6th of December, 2013.

Name Holding Trade Value Shares
Change
Change in
Stake
Fidelity Investments
1
Fidelity Investments
Massachusetts
$228M +$235M +13,892,853 New
Vanguard Group
2
Vanguard Group
Pennsylvania
$169M +$174M +10,289,558 New
T. Rowe Price Associates
3
T. Rowe Price Associates
Maryland
$160M +$165M +9,754,596 New
AM
4
Appaloosa Management
Florida
$153M +$158M +9,339,374 New
AGCJ
5
Alden Global Capital (Jersey)
Jersey
$98.7M +$102M +6,008,300 New
PCM
6
Pentwater Capital Management
Florida
$82.3M +$84.8M +5,010,300 New
Bank of America
7
Bank of America
North Carolina
$74.1M +$76.4M +4,515,749 New
BIT
8
BlackRock Institutional Trust
California
$73.1M +$75.3M +4,449,204 New
Wellington Management Group
9
Wellington Management Group
Massachusetts
$71.5M +$73.7M +4,353,128 New
Lord, Abbett & Co
10
Lord, Abbett & Co
New Jersey
$67.9M +$70M +4,133,873 New
BFA
11
BlackRock Fund Advisors
California
$64.7M +$66.7M +3,942,699 New
State Street
12
State Street
Massachusetts
$58.3M +$60.1M +3,552,522 New
Ameriprise
13
Ameriprise
Minnesota
$44.8M +$46.2M +2,730,068 New
WCM
14
Wedge Capital Management
North Carolina
$43.9M +$45.3M +2,676,363 New
TCP
15
TAMRO Capital Partners
Virginia
$43.6M +$45M +2,657,302 New
Northern Trust
16
Northern Trust
Illinois
$41.6M +$42.9M +2,535,448 New
MVP
17
Miller Value Partners
Florida
$39.5M +$40.7M +2,405,400 New
Capital Research Global Investors
18
Capital Research Global Investors
California
$39.4M +$40.6M +2,400,000 New
DFO
19
Duquesne Family Office
New York
$38.8M +$40M +2,364,000 New
Capital World Investors
20
Capital World Investors
California
$36.7M +$37.9M +2,238,000 New
MDSL
21
M.D. Sass LLC
New York
$36.4M +$37.5M +2,216,965 New
MCM
22
Masters Capital Management
Georgia
$33.7M +$34.8M +2,055,000 New
First Eagle Investment Management
23
First Eagle Investment Management
New York
$33.6M +$34.6M +2,044,606 New
EAM
24
Eagle Asset Management
Florida
$33.1M +$34.1M +2,013,893 New
CCI
25
Columbus Circle Investors
$31.4M +$32.3M +1,910,459 New