Nestle SA (OTC Pink - Current Information:NSRGY)

77.61
Data as of Jan 23
 +1.52 / +1.99%
Today’s Change
65.79
Today|||52-Week Range
80.65
+6.39%
Year-to-Date
 
Other institutional1.74%
Mutual fund holders1.50%
Individual stakeholders--

Largest Quarterly Institutional
Transactions

Latest Institutional Activity

12/31/2014HARRIS ASSOCIATES LP  Bought 1.9 Million shares of Nestle
12/31/2014CLEARBRIDGE INVESTMENTS LLC  Bought 220.8 Thousand shares of Nestle
12/31/2014HARDING LOEVNER LP  Bought 45.8 Thousand shares of Nestle

Top 10 Owners of Nestle

StockholderStakeShares
owned
Total value ($)Shares
bought / sold
Total
change
Gardner Russo & Gardner LLC0.47%14,981,7211,099,898,029+292,819+1.99%
Harris Associates LP0.38%12,224,400897,466,550+1,875,800+18.13%
Capital Research & Management Co....0.33%10,570,192776,021,21600.00%
Eagle Capital Management LLC0.26%8,355,529613,429,517-129,810-1.53%
Fiduciary Management, Inc.0.24%7,598,308557,837,380-243,189-3.10%
First Manhattan Co.0.22%7,030,625516,160,365-102,488-1.44%
Fayez Sarofim & Co.0.11%3,392,355249,053,135+1,000+0.03%
Brown Brothers Harriman & Co. (In...0.10%3,267,795239,908,438-71,225-2.13%
Harding Loevner LP0.08%2,542,701186,674,937+45,779+1.83%
Polen Capital Management LLC0.08%2,520,198185,022,856-84,710-3.25%

Top 10 Mutual Funds Holding Nestle

Mutual fundStakeShares
owned
Total value ($)Shares
bought / sold
Total
change
American Funds Washington Mutual ...0.30%9,570,192702,605,21600.00%
Oakmark Equity & Income Fund0.27%8,627,400633,389,198+1,671,300+24.03%
FMI Large Cap Fund0.13%4,100,000301,005,600-50,000-1.20%
Oakmark Fund0.11%3,540,000259,892,640+200,000+5.99%
BBH Core Select Fund0.10%3,255,395238,998,079-71,225-2.14%
Dreyfus Appreciation Fund0.07%2,263,350166,166,10400.00%
Harding Loevner International Equ...0.07%2,229,500163,680,972+16,200+0.73%
ClearBridge Equity Income Fund0.05%1,650,000121,136,400+212,000+14.74%
Morgan Stanley Invt. Fds. - US Ad...0.04%1,346,78498,875,494-194,268-12.61%
Scout International Fund0.04%1,250,80991,829,394-113,035-8.29%

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