Who owns Michael Kors Holdings Ltd shs?

Key details on Michael Kors Holdings Ltd shs

Who owns Michael Kors Holdings Ltd shs?

Is Michael Kors Holdings Ltd shs a good stock to own? Find out who bought Michael Kors Holdings Ltd shs, who sold Michael Kors Holdings Ltd shs stock, and who holds a large position in Michael Kors Holdings Ltd shs.

Fund Name Number of Shares Share Valuation As Of
Lone Pine Capital 11.23M $738.05M March 31, 2015
MORGAN STANLEY 11.02M $828.24M Dec. 31, 2014
Vanguard 10.68M $702.46M March 31, 2015
STATE STREET CORPORATION 8.11M $533.40M March 31, 2015
VIKING GLOBAL INVESTORS 6.67M $622.01M March 31, 2014
Ameriprise Financial 6.42M $422.37M March 31, 2015
T. Rowe Price Associates 6.17M $463.57M Dec. 31, 2014
SUSQUEHANNA INTERNATIONAL 5.58M $398.13M Sept. 30, 2014
BlackRock Institutional Trust Company, N.A. 5.55M $364.94M March 31, 2015
JPMORGAN CHASE & CO 5.32M $349.72M March 31, 2015
FMR 5.28M $346.90M March 31, 2015
Franklin Resources 5.12M $336.77M March 31, 2015
FLOSSBACH VON STORCH AG 4.94M $324.85M March 31, 2015
Wells Fargo & Company 4.79M $388.83M Dec. 31, 2013
Ontario Teachers' Pension Plan Board 4.23M $394.53M March 31, 2014
WINSLOW CAPITAL MANAGEMENT INC /MN 3.97M $283.35M Sept. 30, 2014
UBS GLOBAL ASSET MANAGEMENT AMERICAS 3.91M $291.21M Sept. 30, 2013
CALAMOS ADVISORS 3.49M $216.64M June 30, 2013
CITADEL ADVISORS 3.48M $177.39M Dec. 31, 2012
ING Investment Management Co Address: 10 State House Square 3.45M $194.82M March 31, 2013
American Century Companies 3.34M $296.31M June 30, 2014
GOLDMAN SACHS 3.27M $245.30M Dec. 31, 2014
S.A.C. Capital Advisors 3.23M $183.66M March 31, 2013
Discovery Capital Management 2.93M $192.40M March 31, 2015
BlackRock Fund Advisors 2.91M $191.56M March 31, 2015
Inves 2.81M $210.95M Dec. 31, 2014
Columbus Circle Investors 2.80M $208.89M Sept. 30, 2013
Brookside Capital Management, LLC* 2.79M $173.09M June 30, 2013

Who sold Michael Kors Holdings Ltd shs?

Fund Name Date Sold Number of Shares Sold Share Valuation
Jennison Associates Dec. 31, 2014 3.79M $284.52M