PERKINS CAPITAL MANAGEMENT INC - ST JUDE MED INC ownership

ST JUDE MED INC's ticker is STJ and the CUSIP is 790849103. A total of 4 filers reported holding ST JUDE MED INC in Q1 2017. The put-call ratio across all filers is - and the average weighting 1.5%.

Quarter-by-quarter ownership
PERKINS CAPITAL MANAGEMENT INC ownership history of ST JUDE MED INC
ValueSharesWeighting
Q4 2016$5,100,000
-4.1%
63,605
-4.6%
5.59%
+5.2%
Q3 2016$5,318,000
+2.3%
66,6730.0%5.32%
-10.8%
Q2 2016$5,200,000
+10.0%
66,673
-22.4%
5.96%
+0.7%
Q1 2016$4,727,000
-15.1%
85,938
-4.7%
5.92%
-1.0%
Q4 2015$5,571,000
-7.4%
90,188
-5.4%
5.98%
-10.7%
Q3 2015$6,015,000
-12.7%
95,338
+1.1%
6.69%
+10.6%
Q2 2015$6,890,000
+21.2%
94,288
+8.4%
6.05%
+26.9%
Q1 2015$5,687,000
+0.8%
86,955
+0.2%
4.77%
-1.5%
Q4 2014$5,642,000
+6.1%
86,755
-1.9%
4.84%
+7.7%
Q3 2014$5,319,000
-13.4%
88,455
-0.2%
4.50%
+4.1%
Q2 2014$6,139,000
+5.4%
88,655
-0.4%
4.32%
+5.7%
Q1 2014$5,822,000
+0.1%
89,038
-5.2%
4.08%
+4.1%
Q4 2013$5,816,000
+17.0%
93,888
+1.3%
3.92%
+9.9%
Q3 2013$4,969,000
+35.9%
92,638
+15.6%
3.57%
+23.0%
Q2 2013$3,657,00080,1382.90%
Other shareholders
ST JUDE MED INC shareholders Q1 2017
NameSharesValueWeighting ↓
Hunting Hill Global Capital, LLC 271,100$21,740,00067.61%
FIRST NEW YORK SECURITIES LLC /NY 241,367$19,355,220,00036.08%
Twin Securities, Inc. 2,175,405$174,446,00028.62%
FNY Managed Accounts LLC 40,529$3,250,021,00021.78%
Taconic Capital Advisors LP 3,000,000$240,570,00021.68%
OMNI PARTNERS LLP 886,083$71,055,00015.90%
GLAZER CAPITAL, LLC 821,235$65,855,00011.93%
HAVENS ADVISORS LLC 199,700$16,014,00010.69%
WATER ISLAND CAPITAL LLC 1,872,298$150,140,00010.23%
Moab Capital Partners 364,039$29,192,0009.75%
View complete list of ST JUDE MED INC shareholders