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PLXT

PLX TECHNOLOGY INC
PLXT

Delisted

PLXT was delisted on the 11th of August, 2014.

86 hedge funds and large institutions have $142M invested in PLX TECHNOLOGY INC in 2013 Q3 according to their latest regulatory filings, with 16 funds opening new positions, 29 increasing their positions, 29 reducing their positions, and 11 closing their positions.

New
Increased
Maintained
Reduced
Closed

278% more call options, than puts

Call options by funds: $170K | Put options by funds: $45K

45% more first-time investments, than exits

New positions opened: 16 | Existing positions closed: 11

42% more capital invested

Capital invested by funds: $99.6M → $142M (+$42M)

5% more funds holding

Funds holding: 8286 (+4)

0% more repeat investments, than reductions

Existing positions increased: 29 | Existing positions reduced: 29

Holders
86
Holders Change
+4
Holders Change %
+4.88%
% of All Funds
2.79%
Holding in Top 10
1
Holding in Top 10 Change
+1
Holding in Top 10 Change %
% of All Funds
0.03%
New
16
Increased
29
Reduced
29
Closed
11
Calls
$170K
Puts
$45K
Net Calls
+$125K
Net Calls Change
+$356K
Name Holding Trade Value Shares
Change
Change in
Stake
State of Wisconsin Investment Board
51
State of Wisconsin Investment Board
Wisconsin
$216K -$606K -111,200 -76%
MLICM
52
Metropolitan Life Insurance Company (MetLife)
New York
$211K -$8.21K -1,506 -4%
ARTA
53
A.R.T. Advisors
New York
$210K
VOYA Investment Management
54
VOYA Investment Management
Georgia
$208K
HAMF
55
Hatteras Alternative Mutual Funds
North Carolina
$201K +$182K +33,435 New
AIG
56
American International Group
New York
$184K -$1.48K -272 -0.9%
ProShare Advisors
57
ProShare Advisors
Maryland
$173K -$1.71K -314 -1%
BA
58
BlackRock Advisors
Delaware
$163K -$709 -130 -0.5%
RFC
59
Russell Frank Company
Washington
$158K +$4.83K +886 +3%
Morgan Stanley
60
Morgan Stanley
New York
$156K +$7.55K +1,385 +6%
T. Rowe Price Associates
61
T. Rowe Price Associates
Maryland
$144K -$21.8K -4,000 -14%
VKH
62
Virtu KCG Holdings
New York
$143K +$130K +23,787 New
DM
63
Diker Management
New York
$127K +$115K +21,100 New
AllianceBernstein
64
AllianceBernstein
Tennessee
$123K -$42K -7,707 -27%
GC
65
Guggenheim Capital
Illinois
$119K -$2.73K -500 -2%
Los Angeles Capital Management
66
Los Angeles Capital Management
California
$113K +$103K +18,828 New
CS
67
Credit Suisse
Switzerland
$105K -$236K -43,345 -71%
Barclays
68
Barclays
United Kingdom
$95K +$27.5K +5,045 +47%
Millennium Management
69
Millennium Management
New York
$91K +$82.3K +15,086 New
BNP Paribas Financial Markets
70
BNP Paribas Financial Markets
France
$88.2K -$18.6K -3,406 -19%
Commonwealth Equity Services
71
Commonwealth Equity Services
Massachusetts
$73K
PPA
72
Parametric Portfolio Associates
Washington
$65K +$59.1K +10,844 New
Susquehanna International Group
73
Susquehanna International Group
Pennsylvania
$60K +$54.7K +10,037 New
TRCT
74
Tower Research Capital (TRC)
New York
$55K +$49.4K +9,052 New
PAM
75
Panagora Asset Management
Massachusetts
$29K -$521K -95,579 -95%

PLXT Hedge Fund Activity: Q3 2013 in Review

86 of the 3,084 institutional investors tracked by Wall St. Rank reported a position in PLX TECHNOLOGY INC (PLXT) for Q3 2013, worth a combined $142M — up 42% from $99.6M a quarter earlier.

Buyers outnumbered sellers: 16 funds opened new PLXT positions and 11 closed out — a net gain of 5 holders — while 29 added to existing stakes and 29 trimmed.

The largest buyer was Shannon River Fund Management, opening a new position worth an estimated $11M. The largest seller was AQR Capital Management, cutting an estimated $6.16M.

  • 86 institutional investors held PLX TECHNOLOGY INC (PLXT) as of Q3 2013, up from 82 in Q2 2013.
  • Funds reported $142M of PLX TECHNOLOGY INC stock for Q3 2013, up 42% quarter-over-quarter.
  • 16 funds opened new PLX TECHNOLOGY INC positions in Q3 2013 and 11 closed out, a net change of +5 holders.
  • The largest PLX TECHNOLOGY INC buyer in Q3 2013 was Shannon River Fund Management, an estimated $11M added.
  • The largest PLX TECHNOLOGY INC seller in Q3 2013 was AQR Capital Management, an estimated $6.16M sold.

Based on aggregated 13F filings for Q3 2013.