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MITCHELL GROUP INC Last Quarter Change: USA Stocks, Reduced

MITCHELL GROUP INC quarter change: USA Stocks, Reduced

In share positions in stocks (listed in the US), from the quarter ended 2016-06-30 to 2016-09-30, MITCHELL GROUP INC opened 1 positions, added to 1, reduced 8, sold out of 1 and left 0 unchanged. The largest increase in value was WMB (+$22,765,000); the largest decrease was EOG (-$26,198,000).

  • EOG: Country of operation United States; Class Common; Shares 2016-06-30 377,230; Shares 2016-09-30 54,500.
  • DVN: Country of operation United States; Class Common; Shares 2016-06-30 1,597,749; Shares 2016-09-30 1,542,199.
  • OXY: Country of operation United States; Class Common; Shares 2016-06-30 621,985; Shares 2016-09-30 527,495.
  • RRC: Country of operation United States; Class Common; Shares 2016-06-30 988,907; Shares 2016-09-30 964,217.

Two Form 13F-HR filings compared (SEC CIK 1190327): 2016-06-30 (filed 2016-08-12) and 2016-09-30 (filed 2016-11-14). 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; share change is the position change.

StockCountry of operationClassShares 2016-06-30Shares 2016-09-30Share changeValue 2016-06-30Value 2016-09-30Value change
EOG
EOG Resources
United StatesCommon377,23054,500-322,730$31,469,000$5,271,000-$26,198,000
DVN
Devon Energy Corp
United StatesCommon1,597,7491,542,199-55,550$57,918,000$68,026,000+$10,108,000
OXY
Occidental Petroleum Corp
United StatesCommon621,985527,495-94,490$46,997,000$38,465,000-$8,532,000
RRC
Range Resources Corp
United StatesCommon988,907964,217-24,690$42,661,000$37,363,000-$5,298,000
EQT
EQT Corporation Com
United StatesCommon665,149653,409-11,740$51,502,000$47,451,000-$4,051,000
SLB
Schlumberger LTD
Common497,039475,029-22,010$39,306,000$37,356,000-$1,950,000
CVX
Chevron Corp
United StatesCommon234,657224,137-10,520$24,599,000$23,068,000-$1,531,000
CNQ
Canadian Natural Resources
Common1,327,4981,290,608-36,890$40,927,000$41,351,000+$424,000

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