Sciclone Pharmaceuticals Inc: Ownership

Ownership Information
Shares Outstanding 47.00 Mil
Institutional Ownership (%)23.31
Top 10 Institutions (%)17.20
Mutual Fund Ownership (%)1.67
5%/Insider Ownership (%).91
Float (%)99.09
Ownership Activity
Description# of HoldersShares
Total Positions 7210,956,645
New Positions330
Soldout Positions90
Net Position Change353,485,551
Buyers533,839,608
Sellers18-354,057
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Institution Name Shs Held Shs Chg %Chg $Chg* %Out %Port Rpt Date
BlackRock Institutional Trust Company, N.A. 2,300,308 296,048 14.8 4,645,403 4.9 0.0 09-30-09
Vanguard Group, Inc. 1,345,345 190,261 16.5 2,760,701 2.9 0.0 09-30-09
Dimensional Fund Advisors, LP 1,230,254 210,783 20.7 2,618,734 2.6 0.0 09-30-09
Renaissance Technologies Corp. 883,300 156,800 21.6 1,894,185 1.9 0.0 09-30-09
State Street Global Advisors (US) 630,063 292,134 86.4 1,812,670 1.3 0.0 09-30-09
Nicholas-Applegate Capital Management, LLC 401,100 401,100 100.0 1,704,675 0.9 0.1 09-30-09
TIAA-CREF 369,422 2,700 0.7 631,236 0.8 0.0 09-30-09
Bogle Investment Management, L.P. 334,362 334,362 100.0 1,421,039 0.7 0.3 09-30-09
Northern Trust Investments, N.A. 332,422 240,708 262.5 1,178,006 0.7 0.0 09-30-09
Numeric Investors LLC 265,175 265,175 100.0 1,126,994 0.6 0.0 09-30-09
Deere & Company 174,796 47,974 37.8 -131,719 0.4 0.0 12-31-09
Millennium Management, L.L.C. 172,094 172,094 100.0 731,400 0.4 0.0 09-30-09
Bridgeway Capital Management, Inc. 169,200 43,900 35.0 398,332 0.4 0.0 09-30-09
Columbia Management Advisors, LLC 145,425 -25 0.0 245,704 0.3 0.0 09-30-09
Quantitative Management Associates LLC 138,700 138,700 100.0 589,475 0.3 0.0 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 1:39 AM Eastern Time