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PCTI

PCTEL, Inc. Common Stock

Delisted

PCTI was delisted on the 15th of December, 2023.

61 hedge funds and large institutions have $89.6M invested in PCTEL, Inc. Common Stock in 2017 Q2 according to their latest regulatory filings, with 17 funds opening new positions, 15 increasing their positions, 21 reducing their positions, and 8 closing their positions.

New
Increased
Maintained
Reduced
Closed

113% more first-time investments, than exits

New positions opened: 17 | Existing positions closed: 8

17% more funds holding

Funds holding: 5261 (+9)

3% more capital invested

Capital invested by funds: $86.6M → $89.6M (+$2.93M)

29% less repeat investments, than reductions

Existing positions increased: 15 | Existing positions reduced: 21

97% less call options, than puts

Call options by funds: $14K | Put options by funds: $420K

Holders
61
Holders Change
+9
Holders Change %
+17.31%
% of All Funds
1.52%
Holding in Top 10
Holding in Top 10 Change
Holding in Top 10 Change %
% of All Funds
New
17
Increased
15
Reduced
21
Closed
8
Calls
$14K
Puts
$420K
Net Calls
-$406K
Net Calls Change
+$134K
Name Holding Trade Value Shares
Change
Change in
Stake
AI
1
Ariel Investments
Illinois
$17.3M -$1.78M -253,992 -9%
CIP
2
Chartwell Investment Partners
Pennsylvania
$10.9M +$1.78M +253,409 +20%
Dimensional Fund Advisors
3
Dimensional Fund Advisors
Texas
$10.7M -$38.9K -5,539 -0.4%
Renaissance Technologies
4
Renaissance Technologies
New York
$10.3M +$653K +93,100 +7%
Vanguard Group
5
Vanguard Group
Pennsylvania
$4.56M -$392K -55,891 -8%
PCM
6
Perritt Capital Management
Illinois
$4.5M -$33K -4,700 -0.7%
BlackRock
7
BlackRock
New York
$4.5M -$1.02M -145,320 -19%
Wellington Management Group
8
Wellington Management Group
Massachusetts
$3.8M -$138K -19,617 -4%
Northern Trust
9
Northern Trust
Illinois
$2.92M +$72.5K +10,333 +3%
BCM
10
Bridgeway Capital Management
Texas
$1.98M
AG
11
Algert Global
California
$1.97M +$1.53M +218,425 +364%
AIC
12
AWM Investment Company
New York
$1.94M -$80.7K -11,500 -4%
New York State Common Retirement Fund
13
New York State Common Retirement Fund
New York
$1.85M -$274K -39,101 -13%
RA
14
Royce & Associates
New York
$1.47M +$1.22M +173,169 +508%
Millennium Management
15
Millennium Management
New York
$1.2M +$1.01M +143,631 +561%
NSIM
16
North Star Investment Management
Illinois
$942K +$112 +16 +0%
Deutsche Bank
17
Deutsche Bank
Germany
$904K +$398K +56,666 +80%
Morgan Stanley
18
Morgan Stanley
New York
$884K -$295K -42,086 -25%
SCM
19
SG Capital Management
Illinois
$772K +$765K +109,055 New
Geode Capital Management
20
Geode Capital Management
Massachusetts
$618K -$22.9K -3,262 -4%
2L
21
22NW LP
Washington
$573K -$509K -72,500 -47%
NI
22
Numeric Investors
Massachusetts
$480K +$283K +40,359 +147%
Prudential Financial
23
Prudential Financial
New Jersey
$420K +$45.6K +6,500 +12%
Invesco
24
Invesco
Georgia
$379K +$181K +25,792 +93%
California Public Employees Retirement System
25
California Public Employees Retirement System
California
$354K

PCTI Hedge Fund Activity: Q2 2017 in Review

61 of the 4,011 institutional investors tracked by Wall St. Rank reported a position in PCTEL, Inc. Common Stock (PCTI) for Q2 2017, worth a combined $89.6M — up 3.4% from $86.6M a quarter earlier.

Buyers outnumbered sellers: 17 funds opened new PCTI positions and 8 closed out — a net gain of 9 holders — while 15 added to existing stakes and 21 trimmed.

The largest buyer was Chartwell Investment Partners, adding an estimated $1.78M. The largest seller was Ariel Investments, cutting an estimated $1.78M.

  • 61 institutional investors held PCTEL, Inc. Common Stock (PCTI) as of Q2 2017, up from 52 in Q1 2017.
  • Funds reported $89.6M of PCTEL, Inc. Common Stock stock for Q2 2017, up 3.4% quarter-over-quarter.
  • 17 funds opened new PCTEL, Inc. Common Stock positions in Q2 2017 and 8 closed out, a net change of +9 holders.
  • The largest PCTEL, Inc. Common Stock buyer in Q2 2017 was Chartwell Investment Partners, an estimated $1.78M added.
  • The largest PCTEL, Inc. Common Stock seller in Q2 2017 was Ariel Investments, an estimated $1.78M sold.

Based on aggregated 13F filings for Q2 2017.