Hackett Group Inc (NASDAQ:HCKT)

Data as of 10:15am ET
 -0.15 / -1.93%
Today’s Change
Today|||52-Week Range
Institutional ownership of HCKT stands at $19.9 million shares or 68.81% of shares outstanding. This is in-line with the Miscellaneous Commercial Services industry average.
Mutual fund holders34.75%
Other institutional34.06%
Individual stakeholders23.98%

Largest Quarterly Institutional

Latest Institutional Activity

12/31/2014MASSACHUSETTS MUTUAL LIFE INSURA...  Bought 55.00 shares of Hackett Group Inc
12/31/2014WISDOMTREE ASSET MANAGEMENT, INC...  Sold 1.7 Thousand shares of Hackett Group Inc
12/31/2014STATE TEACHERS RETIREMENT SYSTEM...  Sold 24.3 Thousand shares of Hackett Group Inc

Top 10 Owners of Hackett Group Inc

Total value ($)Shares
bought / sold
Columbia Wanger Asset Management ...15.31%4,470,00039,291,30000.00%
Dimensional Fund Advisors LP6.74%1,967,67217,295,837-3,497-0.18%
BlackRock Fund Advisors5.80%1,692,13914,873,902-196,067-10.38%
Royce & Associates LLC5.10%1,487,79613,077,72700.00%
MIG Capital LLC3.57%1,042,3189,161,975+76,917+7.97%
Punch & Associates Investment Man...3.40%991,6008,716,164+5,319+0.54%
The Vanguard Group, Inc.2.68%783,6226,888,037+9,372+1.21%
Acadian Asset Management LLC2.56%747,2796,568,582-33,958-4.35%
Pyramis Global Advisors LLC2.44%711,2566,251,940-39,200-5.22%
Renaissance Technologies LLC1.55%451,7443,970,830-28,100-5.86%

Top 10 Mutual Funds Holding Hackett Group Inc

Mutual fundStakeShares
Total value ($)Shares
bought / sold
Columbia Acorn Fund11.13%3,250,00028,567,500-24,000-0.73%
Royce Value Trust4.35%1,270,59611,168,539-66,000-4.94%
Columbia Acorn USA Fund2.02%591,0005,194,89000.00%
iShares Russell 2000 ETF1.50%437,8013,848,271+38,649+9.68%
DFA US Micro Cap Portfolio1.31%382,9483,366,113-14,972-3.76%
Vanguard Total Stock Market Index...1.29%376,9403,313,303+5,300+1.43%
Wanger USA Fund0.83%243,0002,135,97000.00%
Vanguard Extended Market Index Fu...0.80%233,5542,052,940+6,700+2.95%
DFA Tax Managed US Targeted Value...0.74%215,7811,896,71500.00%
DFA US Small Cap Value Portfolio0.70%202,9431,783,869+1,771+0.88%

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