AMERICAN CAPITAL Ltd

(NASDAQ: ACAS)
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14.68 Up +0.07 +0.48%
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OWNERSHIP INFORMATION
Shares Outstanding 0.00
Institutional Ownership (%) 63.68
Top 10 Institutions (%) 28.51
Mutual Fund Ownership (%) 19.43
5%/Insider Ownership (%) 1.31
Float (%) 97
OWNERSHIP ACTIVITY
DESCRIPTION # OF HOLDERS SHARES
Total Positions 253 175,569,960
New Positions 51 7,522,490
Soldout Positions 36 1,670,021
Net Position Change 202 -173,231
Buyers 89 16,453,652
Sellers 113 -16,626,883
VIEW:
MUTUAL FUND SHS HELD SHS CHG %CHG $CHG* %OUT %PORT RPT DATE
BlackRock High Yield Bond Portfolio 9,132,000 0 0 0 3.31 1.03 02-28-14
Munder Mid-Cap Core Growth Fund 5,261,000 -27,300 -0.52 -426,972 1.95 1.34 12-31-13
BGF USD High Yield Bond Fund 2,985,151 0 0 0 1.1 0.86 12-31-13
Fidelity® Select Brokerage & Invmt Mgmt 1,979,100 -270,900 -12.04 -4,215,204 0.72 3.77 02-28-14
BlackRock Corporate High Yield Fund 1,875,455 0 0 0 0.66 1.74 11-30-13
iShares Listed Private Equity 1,844,059 665,200 56.43 10,506,835 0.67 6.29 03-31-14
JHancock Financial Industries Fund 1,754,983 0 0 0 0.64 3.04 02-28-14
DFA US Targeted Value Portfolio 1,547,412 0 0 0 0.57 0.53 01-31-14
Partners Group Invest Private Eq 1,474,046 0 0 0 0.54 5.64 03-31-14
DFA Tax-Managed U.S. Targeted Value 1,164,025 0 0 0 0.43 0.56 01-31-14
JNL/RED Rocks Listed Private Equity Fund 1,134,800 -100,000 -8.1 -1,564,000 0.42 2.14 12-31-13
BGF Global High Yield Bond Fund 1,046,684 0 0 0 0.39 0.76 12-31-13
Met Invt Ser BlackRock High Yield Port 902,905 -100,000 -9.97 -1,564,000 0.33 1.7 12-31-13
PowerShares Global Listed Private Eq 883,479 1,951 0.22 28,114 0.29 2.25 04-15-14
Strategic Advisers® Small-Mid Cap Fund 876,760 176,460 25.2 2,699,838 0.31 0.26 11-30-13
  • *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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