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QLIK

QLIK TECHNOLOGIES INC COM STK (DE)
QLIK

Delisted

QLIK was delisted on the 19th of August, 2016.

210 hedge funds and large institutions have $3.21B invested in QLIK TECHNOLOGIES INC COM STK (DE) in 2013 Q3 according to their latest regulatory filings, with 38 funds opening new positions, 82 increasing their positions, 79 reducing their positions, and 19 closing their positions.

New
Increased
Maintained
Reduced
Closed

100% more first-time investments, than exits

New positions opened: 38 | Existing positions closed: 19

77% more call options, than puts

Call options by funds: $101M | Put options by funds: $57.1M

67% more funds holding in top 10

Funds holding in top 10: 35 (+2)

25% more capital invested

Capital invested by funds: $2.57B → $3.21B (+$638M)

9% more funds holding

Funds holding: 193210 (+17)

4% more repeat investments, than reductions

Existing positions increased: 82 | Existing positions reduced: 79

Holders
210
Holders Change
+17
Holders Change %
+8.81%
% of All Funds
6.81%
Holding in Top 10
5
Holding in Top 10 Change
+2
Holding in Top 10 Change %
+66.67%
% of All Funds
0.16%
New
38
Increased
82
Reduced
79
Closed
19
Calls
$101M
Puts
$57.1M
Net Calls
+$43.7M
Net Calls Change
+$43.8M
Name Holding Trade Value Shares
Change
Change in
Stake
DCM
126
Decade Capital Management
New York
$1.94M +$1.86M +56,588 New
ProShare Advisors
127
ProShare Advisors
Maryland
$1.93M -$50.1K -1,527 -3%
Neuberger Berman Group
128
Neuberger Berman Group
New York
$1.9M -$672K -20,500 -27%
VAM
129
Visium Asset Management
New York
$1.82M +$1.74M +53,044 New
PG
130
PEAK6 Group
Illinois
$1.75M +$277K +8,458 +9%
PTC
131
Peak Ten Capital
New York
$1.71M -$656K -20,000 -29%
WA
132
Wasatch Advisors
Utah
$1.55M +$63.3K +1,932 +4%
PPA
133
Parametric Portfolio Associates
Washington
$1.43M +$105K +3,198 +8%
ARTA
134
A.R.T. Advisors
New York
$1.34M +$1.29M +39,309 New
EI
135
EAM Investors
California
$1.12M -$95.5K -2,913 -8%
FMT
136
First Mercantile Trust
Tennessee
$1.08M -$402K -12,250 -28%
PCP
137
Perimeter Capital Partners
Georgia
$1.01M -$701K -21,375 -42%
ECM
138
Ensemble Capital Management
California
$977K
LCG
139
Lisanti Capital Growth
New York
$930K -$24.6K -750 -3%
HI
140
HBK Investments
Texas
$863K +$826K +25,200 New
EEG
141
E.E. Geduld
$856K -$492K -15,000 -38%
TRSOTSOK
142
Teachers Retirement System of the State of Kentucky
Kentucky
$836K -$72.1K -2,200 -8%
Principal Financial Group
143
Principal Financial Group
Iowa
$826K -$200K -6,104 -20%
STC
144
SEI Trust Company
Pennsylvania
$718K +$72.8K +2,219 +12%
GCP
145
GSA Capital Partners
United Kingdom
$715K +$685K +20,880 New
FAM
146
Fortaleza Asset Management
Illinois
$670K +$3.08K +94 +0.5%
CWM
147
Calamos Wealth Management
Illinois
$660K +$21.1K +645 +3%
VKH
148
Virtu KCG Holdings
New York
$653K +$626K +19,077 New
SG Americas Securities
149
SG Americas Securities
New York
$636K +$330K +10,054 +118%
First Trust Advisors
150
First Trust Advisors
Illinois
$590K +$238K +7,252 +73%

QLIK Hedge Fund Activity: Q3 2013 in Review

210 of the 3,084 institutional investors tracked by Wall St. Rank reported a position in QLIK TECHNOLOGIES INC COM STK (DE) (QLIK) for Q3 2013, worth a combined $3.21B — up 25% from $2.57B a quarter earlier.

Buyers outnumbered sellers: 38 funds opened new QLIK positions and 19 closed out — a net gain of 19 holders — while 82 added to existing stakes and 79 trimmed.

The largest buyer was Maverick Capital, adding an estimated $38.7M. The largest seller was 1832 Asset Management, cutting an estimated $55.5M.

  • 210 institutional investors held QLIK TECHNOLOGIES INC COM STK (DE) (QLIK) as of Q3 2013, up from 193 in Q2 2013.
  • Funds reported $3.21B of QLIK TECHNOLOGIES INC COM STK (DE) stock for Q3 2013, up 25% quarter-over-quarter.
  • 38 funds opened new QLIK TECHNOLOGIES INC COM STK (DE) positions in Q3 2013 and 19 closed out, a net change of +19 holders.
  • The largest QLIK TECHNOLOGIES INC COM STK (DE) buyer in Q3 2013 was Maverick Capital, an estimated $38.7M added.
  • The largest QLIK TECHNOLOGIES INC COM STK (DE) seller in Q3 2013 was 1832 Asset Management, an estimated $55.5M sold.

Based on aggregated 13F filings for Q3 2013.