Assured Investment Management LLC - AVON PRODS INC ownership

AVON PRODS INC's ticker is AVP and the CUSIP is 054303102. A total of 224 filers reported holding AVON PRODS INC in Q2 2019. The put-call ratio across all filers is 0.81 and the average weighting 0.3%.

Quarter-by-quarter ownership
Assured Investment Management LLC ownership history of AVON PRODS INC
ValueSharesWeighting
Q1 2019$1,950,000
+325.8%
663,302
+120.3%
0.02%
+69.2%
Q4 2018$458,000
-41.0%
301,147
-14.6%
0.01%
-7.1%
Q3 2018$776,000
+27.6%
352,535
+64.7%
0.01%0.0%
Q1 2018$608,000
+129.4%
214,080
+162.8%
0.01%
+180.0%
Q3 2015$265,000
-97.7%
81,463
-96.1%
0.01%
-97.4%
Q2 2015$11,657,000
+7.4%
2,096,600
+54.4%
0.20%
+10.1%
Q1 2015$10,850,000
+52.4%
1,358,000
+79.2%
0.18%
+29.9%
Q4 2014$7,118,000
+340.5%
758,000
+585.3%
0.14%
+407.4%
Q2 2014$1,616,000
-66.2%
110,602
-66.1%
0.03%
-65.4%
Q1 2014$4,782,000
-74.3%
326,634
-69.8%
0.08%
-53.6%
Q4 2013$18,626,000
+149.7%
1,081,596
+198.7%
0.17%
-41.7%
Q3 2013$7,460,000
+121.6%
362,119
+126.3%
0.29%
+107.2%
Q2 2013$3,366,000160,0390.14%
Other shareholders
AVON PRODS INC shareholders Q2 2019
NameSharesValueWeighting ↓
Pekin Hardy Strauss, Inc. 2,521,066$43,412,0003.38%
Poplar Forest Capital LLC 1,342,418$23,116,0002.92%
Park West Asset Management LLC 1,274,551$21,948,0002.78%
BTG Pactual Global Asset Management Ltd 418,130$7,200,0001.89%
SeaTown Holdings Pte. Ltd. 275,000$4,736,0001.72%
Manifold Partners, LLC 152,745$2,630,0001.70%
Quotient Investors, LLC 403,581$6,950,0001.63%
SCOGGIN MANAGEMENT LP 958,700$16,509,0001.39%
YACKTMAN ASSET MANAGEMENT LP 18,800,116$323,738,0001.33%
Smithwood Advisers, L.P. 1,250,000$21,525,0001.25%
View complete list of AVON PRODS INC shareholders