KEURIG GREEN MOUNTAIN Inc

(NASDAQ: GMCR)
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98.38 Up +0.25 +0.25%
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OWNERSHIP INFORMATION
Shares Outstanding 148.89 Mil
Institutional Ownership (%) NA
Top 10 Institutions (%) 67.10
Mutual Fund Ownership (%) 51.62
5%/Insider Ownership (%) 6.31
Float (%) 84
OWNERSHIP ACTIVITY
DESCRIPTION # OF HOLDERS SHARES
Total Positions 474 176,649,462
New Positions 107 41,244,585
Soldout Positions 94 3,076,826
Net Position Change 367 3,682,834
Buyers 165 19,800,804
Sellers 202 -16,117,970
VIEW:
MUTUAL FUND SHS HELD SHS CHG %CHG $CHG* %OUT %PORT RPT DATE
American Funds Growth Fund of America 7,027,363 396,700 5.98 41,887,553 4.72 0.57 03-31-14
Fidelity® Growth Company Fund 5,678,053 117,704 2.12 12,921,545 3.81 1.34 02-28-14
Fidelity® Blue Chip Growth Fund 2,368,164 -153,700 -6.09 -16,873,186 1.59 1.58 02-28-14
Fidelity® OTC Portfolio 1,964,417 -1,123,800 -36.39 -123,370,764 1.32 1.86 02-28-14
American Funds AMCAP Fund 1,749,550 -3,184,554 -64.54 -336,257,058 1.18 0.5 03-31-14
PowerShares QQQ Trust, Series 1 1,729,662 -8,008 -0.46 -787,827 1.08 0.41 04-17-14
Vanguard Mid-Cap Index Fund 1,703,193 -202,532 -10.63 -21,385,354 1.14 0.36 03-31-14
Vanguard Total Stock Mkt Idx 1,611,296 -211,617 -11.61 -22,344,639 1.08 0.05 03-31-14
Fidelity VIP Growth Portfolio 1,541,237 0 0 0 1.04 3.41 02-28-14
SPDR S&P MidCap 400 1,325,086 76,471 6.12 8,394,986 0.89 0.92 02-28-14
Vanguard Institutional Index Fund 1,286,148 1,286,148 NA 135,804,367 0.86 0.08 03-31-14
Vanguard Five Hundred Index Fund 1,272,370 1,272,370 NA 134,349,548 0.85 0.08 03-31-14
Fidelity® Series Growth Company Fund 1,239,196 25,196 2.08 2,766,017 0.83 1.37 02-28-14
SPDR S&P 500 1,234,004 6,480 0.53 637,502 0.77 0.08 04-17-14
T. Rowe Price Growth Stock Fund 1,227,900 -1,196,300 -49.35 -90,416,354 0.83 0.22 12-31-13
  • *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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