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MCRN

Milacron Holdings Corp.
MCRN

Delisted

MCRN was delisted on the 20th of November, 2019.

116 hedge funds and large institutions have $1.17B invested in Milacron Holdings Corp. in 2017 Q3 according to their latest regulatory filings, with 22 funds opening new positions, 59 increasing their positions, 24 reducing their positions, and 13 closing their positions.

New
Increased
Maintained
Reduced
Closed

146% more repeat investments, than reductions

Existing positions increased: 59 | Existing positions reduced: 24

69% more first-time investments, than exits

New positions opened: 22 | Existing positions closed: 13

8% more funds holding

Funds holding: 107116 (+9)

0% more funds holding in top 10

Funds holding in top 10: 11 (0)

5% less capital invested

Capital invested by funds: $1.23B → $1.17B (-$64.6M)

Holders
116
Holders Change
+9
Holders Change %
+8.41%
% of All Funds
2.89%
Holding in Top 10
1
Holding in Top 10 Change
Holding in Top 10 Change %
% of All Funds
0.02%
New
22
Increased
59
Reduced
24
Closed
13
Calls
$2K
Puts
Net Calls
+$2K
Net Calls Change
+$178K
Name Holding Trade Value Shares
Change
Change in
Stake
Manulife (Manufacturers Life Insurance)
76
Manulife (Manufacturers Life Insurance)
Ontario, Canada
$702K +$114K +6,719 +19%
CSS
77
Cubist Systematic Strategies
Connecticut
$667K -$495K -29,139 -42%
MLICM
78
Metropolitan Life Insurance Company (MetLife)
New York
$627K +$101K +5,919 +19%
COPPSERS
79
Commonwealth of Pennsylvania Public School Employees Retirement System
Pennsylvania
$621K +$407K +23,977 +187%
AIG
80
American International Group
New York
$609K +$141K +8,308 +30%
Los Angeles Capital Management
81
Los Angeles Capital Management
California
$534K +$538K +31,690 New
EGM
82
Engineers Gate Manager
New York
$407K -$708K -41,721 -63%
Verition Fund Management
83
Verition Fund Management
Connecticut
$373K +$375K +22,113 New
Invesco
84
Invesco
Georgia
$357K +$8.66K +510 +2%
DTL
85
Dynamic Technology Lab
Singapore
$338K +$341K +20,062 New
VOYA Investment Management
86
VOYA Investment Management
Georgia
$327K
PNC Financial Services Group
87
PNC Financial Services Group
Pennsylvania
$288K +$109K +6,438 +61%
Tudor Investment Corp
88
Tudor Investment Corp
Connecticut
$287K +$110K +6,478 +61%
BCM
89
BlueCrest Capital Management
Jersey
$264K +$266K +15,655 New
DVM
90
Dreman Value Management
Florida
$259K
PP
91
Paloma Partners
Connecticut
$235K -$521K -30,666 -69%
Legal & General Group
92
Legal & General Group
United Kingdom
$230K +$48.1K +2,834 +26%
SEI Investments
93
SEI Investments
Pennsylvania
$224K +$152K +8,971 +207%
P
94
Pitcairn
Pennsylvania
$217K -$6.52K -384 -3%
HCM
95
Highbridge Capital Management
New York
$215K +$216K +12,736 New
Capstone Investment Advisors
96
Capstone Investment Advisors
New York
$202K +$204K +11,989 New
UBS AM
97
UBS AM
Illinois
$192K
QC
98
Quadrature Capital
United Kingdom
$188K -$74.2K -4,371 -28%
QT
99
Quantbot Technologies
New York
$132K +$133K +7,831 New
WAM
100
Wealthspire Advisors (Maryland)
Maryland
$125K +$12.3K +722 +11%

MCRN Hedge Fund Activity: Q3 2017 in Review

116 of the 4,011 institutional investors tracked by Wall St. Rank reported a position in Milacron Holdings Corp. (MCRN) for Q3 2017, worth a combined $1.17B — down 5.2% from $1.23B a quarter earlier.

Buyers outnumbered sellers: 22 funds opened new MCRN positions and 13 closed out — a net gain of 9 holders — while 59 added to existing stakes and 24 trimmed.

The largest buyer was Wells Fargo, adding an estimated $25.5M. The largest seller was CCMP Capital, cutting an estimated $128M.

  • 116 institutional investors held Milacron Holdings Corp. (MCRN) as of Q3 2017, up from 107 in Q2 2017.
  • Funds reported $1.17B of Milacron Holdings Corp. stock for Q3 2017, down 5.2% quarter-over-quarter.
  • 22 funds opened new Milacron Holdings Corp. positions in Q3 2017 and 13 closed out, a net change of +9 holders.
  • The largest Milacron Holdings Corp. buyer in Q3 2017 was Wells Fargo, an estimated $25.5M added.
  • The largest Milacron Holdings Corp. seller in Q3 2017 was CCMP Capital, an estimated $128M sold.

Based on aggregated 13F filings for Q3 2017.