Virtu KCG Holdings LLC - AVON PRODS INC ownership

AVON PRODS INC's ticker is AVP and the CUSIP is 054303102. A total of 389 filers reported holding AVON PRODS INC in Q3 2013. The put-call ratio across all filers is 1.47 and the average weighting 0.2%.

Quarter-by-quarter ownership
Virtu KCG Holdings LLC ownership history of AVON PRODS INC
ValueSharesWeighting
Q2 2017$1,557,000
+35.5%
409,800
+56.9%
0.04%
+34.4%
Q1 2017$1,149,000
+30.3%
261,147
+49.3%
0.03%
+45.5%
Q4 2016$882,000
+73.3%
174,953
+94.7%
0.02%
+83.3%
Q3 2016$509,000
+0.6%
89,853
-32.8%
0.01%
+9.1%
Q2 2016$506,000
+151.7%
133,742
+219.3%
0.01%
+83.3%
Q1 2016$201,000
-53.6%
41,882
-60.8%
0.01%
-14.3%
Q4 2015$433,000
-52.8%
106,901
-62.1%
0.01%
-53.3%
Q3 2015$917,000
+45.8%
282,216
+181.0%
0.02%
+36.4%
Q2 2015$629,000
+259.4%
100,431
+357.6%
0.01%
+175.0%
Q1 2015$175,000
-89.4%
21,948
-87.5%
0.00%
-85.2%
Q4 2014$1,645,000
+118.5%
175,213
+193.2%
0.03%
+80.0%
Q3 2014$753,000
-18.9%
59,754
-5.9%
0.02%
+7.1%
Q2 2014$928,000
-36.6%
63,484
-36.5%
0.01%
-22.2%
Q1 2014$1,464,000
+40.1%
99,973
+64.8%
0.02%
+50.0%
Q4 2013$1,045,000
+0.2%
60,664
+19.9%
0.01%
-7.7%
Q3 2013$1,043,00050,6160.01%
Other shareholders
AVON PRODS INC shareholders Q3 2013
NameSharesValueWeighting ↓
Royal Capital Management, LLC 385,000$2,410,0005.21%
McClain Value Management LLC 1,734,168$10,856,0002.70%
Parametrica Management Ltd 10,133$63,0002.53%
MCGLINN CAPITAL MANAGEMENT INC 129,100$808,0001.87%
Weitz Investment Management 8,858,890$55,457,0001.56%
YACKTMAN ASSET MANAGEMENT LP 38,341,852$240,020,0001.28%
Poplar Forest Capital LLC 2,523,442$15,797,0001.20%
PHILADELPHIA TRUST CO 1,416$226,225,0000.84%
CONTINENTAL ADVISORS LLC 477,055$2,986,0000.79%
Sather Financial Group Inc 299,078$1,872,0000.79%
View complete list of AVON PRODS INC shareholders