Close

Notable Holders of Integrated Device Technology I (IDTI)

  |   Expand Research on IDTI   |   * Does Not Fully Represent All Holders
Fund Title Shares % Owned Source
BlackRock Fund Advisors COM 8,210,952 5.48% 13F
BlackRock Institutional Trust Company, N.A. COM 4,039,732 2.69% 13F
ING INVESTMENT MANAGEMENT CO COM 3,453,354 2.30% 13F
BAIRD ROBERT W & CO INC /WI/ COMMON 2,797,814 1.87% 13F
MUNDER CAPITAL MANAGEMENT COM 1,523,921 1.02% 13F
ROXBURY CAPITAL MANAGEMENT COMMON STOCKS 1,000,322 0.67% 13F
BlackRock Investment Management, LLC COM 979,354 0.65% 13F
BLACKROCK ADVISORS LLC COM 815,571 0.54% 13F
LionEye Capital Management, LLC COM 662,900 0.44% 13F
ALLIANZ GLOBAL INVESTORS OF AMERICA L P COM 521,900 0.35% 13F
MANAGED ACCOUNT ADVISORS LLC COM 496,824 0.33% 13F
State of New Jersey Common Pension Fund A COM 400,000 0.27% 13F
TIAA CREF INVESTMENT MANAGEMENT LLC CS 377,319 0.25% 13F
TEACHERS ADVISORS INC CS 305,250 0.20% 13F
City Financial Investment Co Ltd COM 276,500 0.18% 13F
TAMRO Capital Partners LLC COM 264,992 0.18% 13F
BlackRock Group LTD COM 259,400 0.17% 13F
Century Capital Management, LLC COM 253,631 0.17% 13F
KOPP FUNDS INC COM 225,880 0.15% 13F
PENINSULA CAPITAL MANAGEMENT, LP COM 200,000 0.13% 13F
MFC GLOBAL INVESTMENT MANAGEMENT (U.S.), LLC COM 171,699 0.11% 13F
Bodri Capital Management LLC COM 125,000 0.08% 13F
Manulife Asset Management (North America) Ltd COM 117,449 0.08% 13F
PEAR TREE ADVISORS INC COM 107,839 0.07% 13F
RUSSELL FRANK CO/ Common Stocks 105,717 0.07% 13F
ARBOR CAPITAL MANAGEMENT LLC COM 90,833 0.06% 13F
SEI TRUST CO COM 77,788 0.05% 13F
NORTHERN TRUST CO OF CONNECTICUT COM 66,220 0.04% 13F
Winton Capital Management Ltd COM 65,496 0.04% 13F
ROYAL BANK OF CANADA \ COM 62,727 0.04% 13F
PEAK6 Investments, L.P. (PUT) COM 52,800 0.04% 13F
SOCIETE GENERALE COM 48,694 0.03% 13F
EDMOND DE ROTHSCHILD (SUISSE) S.A. COM 20,619 0.01% 13F
Emerald Acquisition Ltd. Common Stocks 19,474 0.01% 13F
RODNEY SQUARE MANAGEMENT CORP COMMON 18,290 0.01% 13F
SPOT TRADING L.L.C. (PUT) COM 18,200 0.01% 13F
CAPSTONE ASSET MANAGEMENT CO COM 16,421 0.01% 13F
FolioMetrix LLC COM 15,700 0.01% 13F