ZEVIN ASSET MANAGEMENT LLC - Oppenheimer Intl Bond Fund ownership

Oppenheimer Intl Bond Fund's ticker is and the CUSIP is 68380T301. A total of 1 filers reported holding Oppenheimer Intl Bond Fund in Q4 2014. The put-call ratio across all filers is - and the average weighting 0.0%.

Quarter-by-quarter ownership
ZEVIN ASSET MANAGEMENT LLC ownership history of Oppenheimer Intl Bond Fund
ValueSharesWeighting
Q4 2015$89,000
-2.2%
16,1660.0%0.02%
-14.8%
Q3 2015$91,000
-2.2%
16,1660.0%0.03%
+8.0%
Q2 2015$93,000
-2.1%
16,1660.0%0.02%
-3.8%
Q1 2015$95,0000.0%16,1660.0%0.03%
-3.7%
Q4 2014$95,000
-28.6%
16,166
-27.1%
0.03%
-30.8%
Q3 2014$133,000
-2.9%
22,1660.0%0.04%
-2.5%
Q2 2014$137,000
+1.5%
22,1660.0%0.04%
-7.0%
Q1 2014$135,000
+0.7%
22,166
+0.0%
0.04%
+13.2%
Q4 2013$134,000
-0.7%
22,1580.0%0.04%
-7.3%
Q3 2013$135,000
+0.7%
22,1580.0%0.04%
-10.9%
Q2 2013$134,00022,1580.05%
Other shareholders
Oppenheimer Intl Bond Fund shareholders Q4 2014
NameSharesValueWeighting ↓
ZEVIN ASSET MANAGEMENT LLC 16,166$95,0000.03%
View complete list of Oppenheimer Intl Bond Fund shareholders