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GAM SYSTEMATIC LLP Historic Quarter Change: USA Stocks, Added

GAM SYSTEMATIC LLP historic quarter change: USA Stocks, Added

In share positions in stocks (listed in the US), over 7 quarters from 2014-12-31 to 2016-09-30, GAM SYSTEMATIC LLP opened 572 positions, added to 1,008, reduced 1,086 and sold out of 409.

  • Q3 2016: Stock IDCC; Country of operation United States; Class COM; Shares before 5,781.
  • Q3 2016: Stock WMT; Country of operation United States; Class COM; Shares before 26,418.
  • Q3 2016: Stock DKS; Country of operation United States; Class COM; Shares before 9,971.
  • Q3 2016: Stock MRK; Country of operation United States; Class COM; Shares before 5,527.

Each consecutive pair of Form 13F-HR filings compared (SEC CIK 1597858), 7 quarters: Q3 2016 (2016-06-30 to 2016-09-30, filed 2016-11-14); Q2 2016 (2016-03-31 to 2016-06-30, filed 2016-08-15); Q1 2016 (2015-12-31 to 2016-03-31, filed 2016-05-13); Q4 2015 (2015-09-30 to 2015-12-31, filed 2016-02-12); Q3 2015 (2015-06-30 to 2015-09-30, filed 2015-11-13); Q2 2015 (2015-03-31 to 2015-06-30, filed 2015-08-13); Q1 2015 (2014-12-31 to 2015-03-31, filed 2015-05-14). Rows for the same security, class and put/call are added together. Value change is the filed value at each quarter end, so it includes the price move. Only the filings held here are compared; the firm's 13F-HR filings go back to the quarter ended 2014-12-31.

QuarterStockCountry of operationClassShares beforeShares afterShare changeValue beforeValue afterValue changeFiled
Q3 2016IDCC
INTERDIGITAL INC CMN
United StatesCOM5,78130,097+24,316$322,000,000$2,384,000,000+$2,062,000,0002016-11-14
Q3 2016WMT
WAL MART STORES INC CMN
United StatesCOM26,41851,307+24,889$1,929,000,000$3,700,000,000+$1,771,000,0002016-11-14
Q3 2016DKS
DICKS SPORTING GOODS INC CMN
United StatesCOM9,97134,300+24,329$449,000,000$1,945,000,000+$1,496,000,0002016-11-14
Q3 2016MRK
MERCK & CO., INC. CMN
United StatesCOM5,52728,923+23,396$318,000,000$1,805,000,000+$1,487,000,0002016-11-14
Q3 2016GRMN
GARMIN LTD. CMN
COM8,23236,957+28,725$349,000,000$1,778,000,000+$1,429,000,0002016-11-14
Q3 2016URBN
URBAN OUTFITTERS INC CMN
United StatesCOM17,78153,989+36,208$489,000,000$1,864,000,000+$1,375,000,0002016-11-14
Q3 2016CTAS
CINTAS CORPORATION CMN
United StatesCOM2,17912,755+10,576$214,000,000$1,436,000,000+$1,222,000,0002016-11-14
Q3 2016SNX
SYNNEX CORPORATION CMN
United StatesCOM6,10815,205+9,097$579,000,000$1,735,000,000+$1,156,000,0002016-11-14
Q3 2016AEO
AMERICAN EAGLE OUTFITTERS INC (NEW)
United StatesCOM72,797127,206+54,409$1,160,000,000$2,272,000,000+$1,112,000,0002016-11-14
Q3 2016INTC
INTEL CORPORATION CMN
United StatesCOM54,29274,885+20,593$1,781,000,000$2,827,000,000+$1,046,000,0002016-11-14
Q3 2016ACGL
ARCH CAPITAL GROUP LTD. CMN
COM2,84215,519+12,677$205,000,000$1,230,000,000+$1,025,000,0002016-11-14
Q3 2016CBRL
CRACKER BARREL OLD COUNTRY STO*RE INC CMN
United StatesCOM4,87813,975+9,097$836,000,000$1,848,000,000+$1,012,000,0002016-11-14
Q3 2016THO
THOR INDUSTRIES INC CMN
United StatesCOM19,73226,683+6,951$1,277,000,000$2,260,000,000+$983,000,0002016-11-14
Q3 2016TXN
TEXAS INSTRUMENTS INC. CMN
United StatesCOM19,09330,927+11,834$1,196,000,000$2,170,000,000+$974,000,0002016-11-14
Q3 2016MTZ
MASTEC INC CMN
United StatesCOM66133,167+32,506$15,000,000$986,000,000+$971,000,0002016-11-14
Q3 2016GAP
GAP INC CMN
United StatesCOM18,02960,587+42,558$383,000,000$1,347,000,000+$964,000,0002016-11-14
Q3 2016JBL
JABIL CIRCUIT INC CMN
United StatesCOM20,65660,997+40,341$382,000,000$1,331,000,000+$949,000,0002016-11-14
Q3 2016WAT
WATERS CORPORATION COMMON STOCK
United StatesCOM7,26012,122+4,862$1,021,000,000$1,921,000,000+$900,000,0002016-11-14
Q3 2016T
AT&T INC CMN
United StatesCOM31,67555,701+24,026$1,369,000,000$2,262,000,000+$893,000,0002016-11-14
Q3 2016HPQ
HP INC. CMN
United StatesCOM54,508100,463+45,955$684,000,000$1,560,000,000+$876,000,0002016-11-14
Q3 2016CVLT
COMMVAULT SYSTEMS INC CMN
United StatesCOM3,69119,056+15,365$159,000,000$1,012,000,000+$853,000,0002016-11-14
Q3 2016TRN
TRINITY INDUSTRIES INC (DEL) CMN
United StatesCOM10,85243,496+32,644$202,000,000$1,052,000,000+$850,000,0002016-11-14
Q3 2016CSL
CARLISLE COS INC CMN
United StatesCOM6,40214,674+8,272$677,000,000$1,505,000,000+$828,000,0002016-11-14
Q3 2016BIGGQ
BIG LOTS INC CMN
United StatesCOM17,18835,277+18,089$861,000,000$1,684,000,000+$823,000,0002016-11-14
Q3 2016AOS
A.O. SMITH CORP (DEL) CMN
United StatesCOM2,58210,497+7,915$228,000,000$1,037,000,000+$809,000,0002016-11-14
Q3 2016INGR
INGREDION INC CMN
United StatesCOM18,75724,069+5,312$2,427,000,000$3,203,000,000+$776,000,0002016-11-14
Q3 2016LDOS
LEIDOS HLDGS INC CMN
United StatesCOM36,60058,291+21,691$1,752,000,000$2,523,000,000+$771,000,0002016-11-14
Q3 2016FFIV
F5 NETWORKS INC CMN
United StatesCOM7,78512,977+5,192$886,000,000$1,617,000,000+$731,000,0002016-11-14
Q3 2016IEX
IDEX CORPORATION COMMON STOCK
United StatesCOM2,75610,173+7,417$226,000,000$952,000,000+$726,000,0002016-11-14
Q3 2016IBM
INTL BUSINESS MACHINES CORP CMN
United StatesCOM8,46012,650+4,190$1,284,000,000$2,009,000,000+$725,000,0002016-11-14
Q3 2016NUS
NU SKIN ENTERPRISES INC CMN CLASS A
United StatesCOM21,82126,608+4,787$1,008,000,000$1,724,000,000+$716,000,0002016-11-14
Q3 2016ISRG
INTUITIVE SURGICAL, INC. CMN
United StatesCOM9911,878+887$655,000,000$1,361,000,000+$706,000,0002016-11-14
Q3 2016NYT
NEW YORK TIMES CO.A CMN CLASS A
United StatesCOM65,264125,167+59,903$790,000,000$1,496,000,000+$706,000,0002016-11-14
Q3 2016PHM
PULTEGROUP INC. CMN
United StatesCOM19,67952,879+33,200$384,000,000$1,060,000,000+$676,000,0002016-11-14
Q3 2016TSN
TYSON FOODS INC CL-A CMN CLASS A
United StatesCOM43,52747,939+4,412$2,907,000,000$3,580,000,000+$673,000,0002016-11-14
Q3 2016PFE
PFIZER INC. CMN
United StatesCOM32,30053,168+20,868$1,137,000,000$1,801,000,000+$664,000,0002016-11-14
Q3 2016FAF
FIRST AMERICAN FIN CORP CMN
United StatesCOM2,22118,780+16,559$89,000,000$738,000,000+$649,000,0002016-11-14
Q3 2016GLW
CORNING INCORPORATED CMN
United StatesCOM26,65350,478+23,825$546,000,000$1,194,000,000+$648,000,0002016-11-14
Q3 2016IDXX
IDEXX LABORATORIES CMN
United StatesCOM8,05312,375+4,322$748,000,000$1,395,000,000+$647,000,0002016-11-14
Q3 2016BIO
BIO-RAD LABORATORIES, INC CMN CLASS A
United StatesCOM1,3005,078+3,778$186,000,000$832,000,000+$646,000,0002016-11-14
Q3 2016A
AGILENT TECHNOLOGIES, INC. CMN
United StatesCOM5,34318,621+13,278$237,000,000$877,000,000+$640,000,0002016-11-14
Q3 2016OSK
OSHKOSH CORPORATION CMN
United StatesCOM11,00520,762+9,757$525,000,000$1,163,000,000+$638,000,0002016-11-14
Q3 2016CRUS
CIRRUS LOGIC COMMON STOCK
United StatesCOM7,43217,049+9,617$288,000,000$906,000,000+$618,000,0002016-11-14
Q3 2016BPOP
POPULAR, INC. CMN
United StatesCOM4,54019,634+15,094$133,000,000$750,000,000+$617,000,0002016-11-14
Q3 2016MU
MICRON TECHNOLOGY, INC. CMN
United StatesCOM26,62055,040+28,420$366,000,000$979,000,000+$613,000,0002016-11-14
Q3 2016JNJ
JOHNSON & JOHNSON CMN
United StatesCOM19,47725,114+5,637$2,363,000,000$2,967,000,000+$604,000,0002016-11-14
Q3 2016VAC
MARRIOTT VACATIONS WORLDWIDE CORPORATION CMN
United StatesCOM5,06812,867+7,799$347,000,000$943,000,000+$596,000,0002016-11-14
Q3 2016POOL
POOL CORP CMN
United StatesCOM2836,550+6,267$27,000,000$619,000,000+$592,000,0002016-11-14
Q3 2016BAX
BAXTER INTERNATIONAL INC CMN
United StatesCOM30,80041,680+10,880$1,393,000,000$1,984,000,000+$591,000,0002016-11-14
Q3 2016DTE
DTE ENERGY COMPANY CMN
United StatesCOM4,73511,240+6,505$469,000,000$1,053,000,000+$584,000,0002016-11-14
Q3 2016DGX
QUEST DIAGNOSTICS INCORPORATED CMN
United StatesCOM15,05921,295+6,236$1,226,000,000$1,802,000,000+$576,000,0002016-11-14
Q3 2016UNFI
UNITED NATURAL FOODS INC CMN
United StatesCOM9,14524,807+15,662$428,000,000$993,000,000+$565,000,0002016-11-14
Q3 2016GIS
GENERAL MILLS INC CMN
United StatesCOM5,56115,005+9,444$397,000,000$959,000,000+$562,000,0002016-11-14
Q3 2016BIIB
BIOGEN INC. CMN
United StatesCOM7062,320+1,614$171,000,000$726,000,000+$555,000,0002016-11-14
Q3 2016DPZ
DOMINO'S PIZZA, INC. CMN
United StatesCOM5,8698,713+2,844$771,000,000$1,323,000,000+$552,000,0002016-11-14
Q3 2016CSCO
CISCO SYSTEMS, INC. CMN
United StatesCOM69,12779,221+10,094$1,983,000,000$2,513,000,000+$530,000,0002016-11-14
Q3 2016ADM
ARCHER DANIELS MIDLAND CO CMN
United StatesCOM11,89424,630+12,736$510,000,000$1,039,000,000+$529,000,0002016-11-14
Q3 2016MSM
MSC INDUSTRIAL DIRECT CO INC CL-A CLASS A
United StatesCOM20,39026,604+6,214$1,439,000,000$1,953,000,000+$514,000,0002016-11-14
Q3 2016ELV
ANTHEM, INC. CMN
United StatesCOM2,0836,197+4,114$274,000,000$777,000,000+$503,000,0002016-11-14
Q3 2016USNA
USANA HEALTH SCIENCES INC CMN
United StatesCOM4,0466,889+2,843$451,000,000$953,000,000+$502,000,0002016-11-14
Q3 2016QCOM
QUALCOMM INC CMN
United StatesCOM2,3589,123+6,765$126,000,000$625,000,000+$499,000,0002016-11-14
Q3 2016ETN
EATON CORP PLC CMN
COM4,54111,692+7,151$271,000,000$768,000,000+$497,000,0002016-11-14
Q3 2016DOX
AMDOCS LIMITED ORDINARY SHARES
COM31,30639,687+8,381$1,807,000,000$2,296,000,000+$489,000,0002016-11-14
Q3 2016LOW
LOWES COMPANIES INC CMN
United StatesCOM8,55316,103+7,550$677,000,000$1,163,000,000+$486,000,0002016-11-14
Q3 2016MMM
3M COMPANY CMN
United StatesCOM1,1483,829+2,681$201,000,000$675,000,000+$474,000,0002016-11-14
Q3 2016DLB
DOLBY LABORATORIES, INC. CMN CLASS A
United StatesCOM45,85448,691+2,837$2,194,000,000$2,643,000,000+$449,000,0002016-11-14
Q3 2016GOOGL
ALPHABET INC. CMN CLASS A
United StatesCOM3,2283,378+150$2,271,000,000$2,716,000,000+$445,000,0002016-11-14
Q3 2016AMAT
APPLIED MATERIALS INC CMN
United StatesCOM59,41961,643+2,224$1,424,000,000$1,859,000,000+$435,000,0002016-11-14
Q3 2016CASY
CASEY'S GENERAL STORES,INC CMN
United StatesCOM7,74712,095+4,348$1,019,000,000$1,453,000,000+$434,000,0002016-11-14
Q3 2016CMI
CUMMINS INC COMMON STOCK
United StatesCOM4543,786+3,332$51,000,000$485,000,000+$434,000,0002016-11-14
Q3 2016ITW
ILLINOIS TOOL WORKS CMN
United StatesCOM9,22911,640+2,411$961,000,000$1,395,000,000+$434,000,0002016-11-14
Q3 2016WDC
WESTERN DIGITAL CORPORATION CMN
United StatesCOM2,6349,505+6,871$124,000,000$556,000,000+$432,000,0002016-11-14
Q3 2016TFX
TELEFLEX INC. CMN
United StatesCOM1,5934,216+2,623$282,000,000$708,000,000+$426,000,0002016-11-14
Q3 2016MGA
MAGNA INTERNATIONAL INC. CMN
COM14,49621,699+7,203$508,000,000$932,000,000+$424,000,0002016-11-14
Q3 2016KBR
KBR, INC. CMN
United StatesCOM45,96067,749+21,789$609,000,000$1,025,000,000+$416,000,0002016-11-14
Q3 2016ORCL
ORACLE CORPORATION CMN
United StatesCOM28,57140,275+11,704$1,169,000,000$1,582,000,000+$413,000,0002016-11-14
Q3 2016CINF
CINCINNATI FINANCIAL CRP CMN
United StatesCOM18,72024,050+5,330$1,402,000,000$1,814,000,000+$412,000,0002016-11-14
Q3 2016DHI
D.R. HORTON, INC. CMN
United StatesCOM25,10139,809+14,708$790,000,000$1,202,000,000+$412,000,0002016-11-14
Q3 2016ROK
ROCKWELL AUTOMATION INC CMN
United StatesCOM3,7666,836+3,070$432,000,000$836,000,000+$404,000,0002016-11-14
Q3 2016ALGN
ALIGN TECHNOLOGY INC CMN
United StatesCOM12,95715,427+2,470$1,044,000,000$1,446,000,000+$402,000,0002016-11-14
Q3 2016TGT
TARGET CORPORATION CMN
United StatesCOM4,76510,644+5,879$333,000,000$731,000,000+$398,000,0002016-11-14
Q3 2016VZ
VERIZON COMMUNICATIONS INC. CMN
United StatesCOM36,10546,379+10,274$2,016,000,000$2,411,000,000+$395,000,0002016-11-14
Q3 2016SSTK
SHUTTERSTOCK INC CMN
United StatesCOM1,9557,547+5,592$90,000,000$481,000,000+$391,000,0002016-11-14
Q3 2016VRSK
VERISK ANALYTICS, INC. CMN
United StatesCOM3,4328,220+4,788$278,000,000$668,000,000+$390,000,0002016-11-14
Q3 2016PRI
PRIMERICA INC. CMN
United StatesCOM1,8069,241+7,435$103,000,000$490,000,000+$387,000,0002016-11-14
Q3 2016SNPS
SYNOPSYS INC CMN
United StatesCOM11,28216,800+5,518$610,000,000$997,000,000+$387,000,0002016-11-14
Q3 2016SO
THE SOUTHERN CO. CMN
United StatesCOM12,19620,245+8,049$654,000,000$1,039,000,000+$385,000,0002016-11-14
Q3 2016NDSN
NORDSON CORP CMN
United StatesCOM3,0616,375+3,314$256,000,000$635,000,000+$379,000,0002016-11-14
Q3 2016UNH
UNITEDHEALTH GROUP INCORPORATE*D CMN
United StatesCOM9,35512,062+2,707$1,321,000,000$1,689,000,000+$368,000,0002016-11-14
Q3 2016WOR
WORTHINGTON INDUSTRIES CMN USD0.6000
United StatesCOM4,15311,315+7,162$176,000,000$543,000,000+$367,000,0002016-11-14
Q3 2016CW
CURTISS-WRIGHT CORP CMN
United StatesCOM6,4499,972+3,523$543,000,000$909,000,000+$366,000,0002016-11-14
Q3 2016RGLD
ROYAL GOLD, INC. CMN
United StatesCOM1,9946,544+4,550$144,000,000$507,000,000+$363,000,0002016-11-14
Q3 2016AMGN
AMGEN INC. CMN
United StatesCOM9,14310,501+1,358$1,391,000,000$1,752,000,000+$361,000,0002016-11-14
Q3 2016AVT
AVNET INC. CMN
United StatesCOM12,45921,096+8,637$505,000,000$866,000,000+$361,000,0002016-11-14
Q3 2016HONZZZZ
HONEYWELL INTL INC CMN
COM1,9094,930+3,021$222,000,000$575,000,000+$353,000,0002016-11-14
Q3 2016INTU
INTUIT INC CMN
United StatesCOM6703,786+3,116$75,000,000$416,000,000+$341,000,0002016-11-14
Q3 2016HCA
HCA HOLDINGS, INC. CMN
United StatesCOM17,50922,235+4,726$1,348,000,000$1,682,000,000+$334,000,0002016-11-14
Q3 2016SAIC
SCIENCE APPLICATIONS INTL CORP CMN
United StatesCOM18,98320,763+1,780$1,108,000,000$1,440,000,000+$332,000,0002016-11-14
Q3 2016WLY
WILEY JOHN & SONS CL-A CMN CLASS A
United StatesCOM12,56919,115+6,546$656,000,000$987,000,000+$331,000,0002016-11-14
Q3 2016CME
CME GROUP INC. CMN CLASS A
United StatesCOM5,0147,798+2,784$488,000,000$815,000,000+$327,000,0002016-11-14

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