News Ord Shs Class B

(NASDAQ: NWS)
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33.32 Up unch unch
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OWNERSHIP INFORMATION
Shares Outstanding 799.00 Mil
Institutional Ownership (%) 21.00
Top 10 Institutions (%) 10.40
Mutual Fund Ownership (%) 0.31
5%/Insider Ownership (%) 0.00
Float (%) 0.00
OWNERSHIP ACTIVITY
DESCRIPTION # OF HOLDERS SHARES
Total Positions 250 167,798,935
New Positions 41 0
Soldout Positions 77 0
Net Position Change -35 -9,456,739
Buyers 121 30,399,982
Sellers 156 -39,856,721
VIEW:
MUTUAL FUND SHS HELD SHS CHG %CHG $CHG* %OUT %PORT RPT DATE
Franklin Mutual Series - Mutual Shares Fund 8,524,052 0 0 38,528,715 1.1 2.2 03-31-13
Invesco Comstock Fund 5,555,213 -19,388 -0.3 16,323,554 0.7 1.7 02-28-13
Franklin Mutual Series - Mutual Global Discovery Fund 4,401,800 0 0 19,896,136 0.6 0.8 03-31-13
Franklin Mutual Series - Mutual Beacon Fund 3,687,347 0 0 16,666,808 0.5 3.5 03-31-13
Franklin Templeton VIPT Mutual Shares Securities Fund 2,989,599 0 0 13,512,987 0.4 2.2 03-31-13
Waddell & Reed Advisors Core Investment Fund 2,872,000 735,300 34.4 32,275,712 0.4 2.6 03-31-13
DFA U.S. Large Cap Value Series 2,691,868 -555,427 -17.1 -3,085,754 0.3 0.7 01-31-13
Vanguard Growth Index Fund 1,726,340 17,831 1 8,270,942 0.2 0.2 03-31-13
Fidelity Capital Appreciation Fund 1,709,043 1,709,043 1 52,570,163 0.2 0.8 03-31-13
IVA Worldwide Fund 1,359,743 -7,511 -0.5 1,785,430 0.2 0.7 12-31-12
Met Investors Series - Invesco Comstock Portfolio 1,358,178 -18,716 -1.4 5,647,857 0.2 1.9 03-31-13
Pacific Select Comstock Portfolio 1,255,165 -6,430 -0.5 5,504,623 0.2 1.9 03-31-13
Fidelity Fund 1,250,000 1,250,000 1 38,450,000 0.2 0.7 03-31-13
Invesco V.I. Comstock Fund 1,194,002 -15,017 -1.2 3,223,780 0.1 1.7 02-28-13
Fidelity Diversified International Fund 1,132,500 1,132,500 1 34,835,700 0.1 0.2 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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