47.05Down-0.13-0.28%Today's Close  |  47.09 +0.04 +0.09% After hours
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OWNERSHIP INFORMATION
Shares Outstanding 445.00 Mil
Institutional Ownership (%) 85.83
Top 10 Institutions (%) 38.00
Mutual Fund Ownership (%) 1.27
5%/Insider Ownership (%) 0.66
Float (%) 99.34
OWNERSHIP ACTIVITY
DESCRIPTION # OF HOLDERS SHARES
Total Positions 646 381,956,603
New Positions 84 0
Soldout Positions 184 0
Net Position Change -101 -22,309,289
Buyers 317 44,575,523
Sellers 418 -66,884,812
VIEW:
INSTITUTION NAME SHS HELD SHS CHG %CHG $CHG* %OUT %PORT RPT DATE
State Street Global Advisors (US) 31,416,446 -51,806 -0.2 209,682,895 7.1 0.2 03-31-13
T. Rowe Price Associates, Inc. 30,077,198 -927,000 -3 165,788,635 6.8 0.4 03-31-13
Wellington Management Company, LLP 24,533,147 -6,131,487 -20 -78,925,032 5.5 0.4 03-31-13
The Vanguard Group, Inc. 20,513,203 1,547,152 8.2 199,897,524 4.6 0.1 03-31-13
BlackRock Institutional Trust Company, N.A. 18,341,981 81,822 0.4 126,884,740 4.1 0.1 03-31-13
Fidelity Management & Research Company 14,365,696 3,659,858 34.2 242,633,534 3.2 0.1 03-31-13
Invesco Advisers, Inc. 9,273,606 -2,420,307 -20.7 -33,920,927 2.1 0.4 03-31-13
Franklin Mutual Advisers, LLC 7,325,793 -1,807,266 -19.8 -22,625,633 1.6 1 03-31-13
Neuberger Berman, LLC 6,848,727 597,265 9.6 69,955,458 1.5 0.4 03-31-13
Third Point LLC 6,600,000 5,100,000 340 247,668,000 1.5 8 03-31-13
NFJ Investment Group LLC 6,504,416 -6,590,680 -50.3 -218,732,928 1.5 1.2 03-31-13
Columbia Management Investment Advisers, LLC 6,306,759 -742,303 -10.5 12,934,204 1.4 0.2 03-31-13
BlackRock Financial Management, Inc. 6,210,449 26,219 0.4 42,902,991 1.4 0.2 03-31-13
ClearBridge Investments, LLC 5,825,964 -242,775 -4 29,594,841 1.3 0.4 03-31-13
TIAA-CREF 4,978,342 260,204 5.5 43,920,552 1.1 0.1 03-31-13
  • *Category Headings:
  • Shs Held - shares held at report date
  • Shs Chg - position change within reporting period
  • %Chg - % change
  • $Chg - market value of the position change
  • %Out - % of shares outstanding
  • %Port - % Portfolio
  • Rpt Date - report date
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