Avatar Holdings Inc: Ownership

Ownership Information
Shares Outstanding 11.00 Mil
Institutional Ownership (%)53.07
Top 10 Institutions (%)37.30
Mutual Fund Ownership (%)1.14
5%/Insider Ownership (%)25.05
Float (%)74.95
Ownership Activity
Description# of HoldersShares
Total Positions 735,838,049
New Positions180
Soldout Positions370
Net Position Change-61,405,237
Buyers422,483,566
Sellers48-1,078,329
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Institution Name Shs Held Shs Chg %Chg $Chg* %Out %Port Rpt Date
Dimensional Fund Advisors, LP 750,228 2,093 0.3 660,719 6.6 0.0 09-30-09
First Manhattan Company 699,170 -68,187 -8.9 -2,686,901 6.2 0.1 12-31-09
BlackRock Institutional Trust Company, N.A. 688,773 133,255 24.0 2,992,925 6.1 0.0 09-30-09
Cannell Capital Management, L.L.C. 350,680 350,680 100.0 6,662,920 3.1 4.7 09-30-09
Columbia Management Advisors, LLC 299,347 130,091 76.9 2,612,211 2.6 0.0 09-30-09
Sterling Capital Management, LLC 292,529 97,825 50.2 2,020,279 2.6 0.3 09-30-09
Fidelity Management & Research 283,604 283,604 100.0 5,388,476 2.5 0.0 09-30-09
Vanguard Group, Inc. 267,465 56,466 26.8 1,247,983 2.4 0.0 09-30-09
High Rise Capital Management, L.P. 250,000 250,000 100.0 4,750,000 2.2 0.6 09-30-09
Brookfield Investment Management Inc. 222,222 222,222 100.0 4,222,218 2.0 0.2 09-30-09
George Weiss Associates, Inc. 200,000 200,000 100.0 3,800,000 1.8 0.2 09-30-09
Millennium Management, L.L.C. 170,417 153,606 913.7 2,932,467 1.5 0.0 09-30-09
State Street Global Advisors (US) 118,805 28,025 30.9 607,822 1.0 0.0 09-30-09
Northern Trust Investments, N.A. 116,677 64,688 124.4 1,272,223 1.0 0.0 09-30-09
Delphi Management, Inc. 107,600 107,600 100.0 2,044,400 0.9 0.4 09-30-09
*Category Headings:
Shs Held - shares held at report date
Shs Chg - position change within reporting period
%Chg - % change
$Chg - market value of the position change
%Out - % of shares outstanding
%Port - % Portfolio
Rpt Date - report date
Page generated 2/10/2010 12:44 AM Eastern Time