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MTSN

MATTSON TECHNOLOGY INC
MTSN

Delisted

MTSN was delisted on the 10th of May, 2016.

49 hedge funds and large institutions have $42.1M invested in MATTSON TECHNOLOGY INC in 2013 Q3 according to their latest regulatory filings, with 10 funds opening new positions, 13 increasing their positions, 15 reducing their positions, and 20 closing their positions.

New
Increased
Maintained
Reduced
Closed

32,100% more call options, than puts

Call options by funds: $322K | Put options by funds: $1K

25% more capital invested

Capital invested by funds: $33.7M → $42.1M (+$8.38M)

13% less repeat investments, than reductions

Existing positions increased: 13 | Existing positions reduced: 15

17% less funds holding

Funds holding: 5949 (-10)

50% less first-time investments, than exits

New positions opened: 10 | Existing positions closed: 20

Holders
49
Holders Change
-10
Holders Change %
-16.95%
% of All Funds
1.59%
Holding in Top 10
Holding in Top 10 Change
Holding in Top 10 Change %
% of All Funds
New
10
Increased
13
Reduced
15
Closed
20
Calls
$322K
Puts
$1K
Net Calls
+$321K
Net Calls Change
+$204K
Name Holding Trade Value Shares
Change
Change in
Stake
DSC
1
Donald Smith & Co
New York
$8.68M
Verition Fund Management
2
Verition Fund Management
Connecticut
$6.65M +$4.65M +2,041,320 +276%
BIT
3
BlackRock Institutional Trust
California
$2.98M +$2.44K +1,071 +0.1%
Vanguard Group
4
Vanguard Group
Pennsylvania
$2.77M +$67.4K +29,600 +3%
Dimensional Fund Advisors
5
Dimensional Fund Advisors
Texas
$2.65M -$34.2K -15,015 -1%
RA
6
Royce & Associates
New York
$1.73M +$1.06M +466,498 +182%
EI
7
EAM Investors
California
$1.63M -$55.6K -24,430 -3%
GMCM
8
Gruber & McBaine Capital Management
California
$1.48M +$1.41M +619,000 New
Fuller & Thaler Asset Management
9
Fuller & Thaler Asset Management
California
$1.47M -$20.5K -9,000 -1%
TC
10
TFS Capital
Pennsylvania
$1.22M -$225K -98,940 -16%
PCMI
11
Paradigm Capital Management Inc
New York
$1.13M +$509K +223,500 +89%
CCA
12
Catalyst Capital Advisors
New York
$1.07M +$695K +304,956 +213%
DCM
13
Driehaus Capital Management
Illinois
$964K +$919K +403,369 New
TCM
14
Tanaka Capital Management
New York
$857K -$87.8K -38,526 -10%
California Public Employees Retirement System
15
California Public Employees Retirement System
California
$799K -$118K -51,700 -13%
MCM
16
Munder Capital Management
Michigan
$750K +$715K +314,000 New
Geode Capital Management
17
Geode Capital Management
Massachusetts
$597K +$661 +290 +0.1%
Jacobs Levy Equity Management
18
Jacobs Levy Equity Management
New Jersey
$563K
BCM
19
Bridgeway Capital Management
Texas
$550K
WA
20
Whitebox Advisors
Minnesota
$431K +$23.9K +10,500 +6%
I2I
21
Insight 2811 Inc
Illinois
$370K +$68.3K +30,000 +24%
D.E. Shaw & Co
22
D.E. Shaw & Co
New York
$354K -$83.6K -36,683 -20%
BFA
23
BlackRock Fund Advisors
California
$338K +$25.3K +11,124 +9%
Northern Trust
24
Northern Trust
Illinois
$284K -$1.05M -460,454 -80%
AQR Capital Management
25
AQR Capital Management
Connecticut
$235K +$170K +74,582 +312%

MTSN Hedge Fund Activity: Q3 2013 in Review

49 of the 3,084 institutional investors tracked by Wall St. Rank reported a position in MATTSON TECHNOLOGY INC (MTSN) for Q3 2013, worth a combined $42.1M — up 25% from $33.7M a quarter earlier.

Sellers outnumbered buyers: 20 funds closed out of MTSN and 10 opened new positions — a net loss of 10 holders — while 15 trimmed existing stakes and 13 added.

The largest buyer was Verition Fund Management, adding an estimated $4.65M. The largest seller was Northern Trust, cutting an estimated $1.05M.

  • 49 institutional investors held MATTSON TECHNOLOGY INC (MTSN) as of Q3 2013, down from 59 in Q2 2013.
  • Funds reported $42.1M of MATTSON TECHNOLOGY INC stock for Q3 2013, up 25% quarter-over-quarter.
  • 10 funds opened new MATTSON TECHNOLOGY INC positions in Q3 2013 and 20 closed out, a net change of -10 holders.
  • The largest MATTSON TECHNOLOGY INC buyer in Q3 2013 was Verition Fund Management, an estimated $4.65M added.
  • The largest MATTSON TECHNOLOGY INC seller in Q3 2013 was Northern Trust, an estimated $1.05M sold.

Based on aggregated 13F filings for Q3 2013.