FTR : NYSE
Industry: Fixed Line Telecommunications

HOLDINGS SUMMARY

Shareholders

Top Shareholders

Large Block Owners 1,308
Total Number of Shares Held 295.0M
% Change in Ownership -1%
% Shares Owned 90%
 
Monthly Rotation Number
of Shares
Value of
Change (MM)
% of Shrs.
Outstanding
Buyers 11/22/09 33,948,061 $253.38 37.1%
Sellers 11/22/09 78,756,586 $642.42 22.4%
 
Holdings chart
Institutions:
384 Holders
$1,114,491,305 Value
47.2% Owned of O/S
Mutual Funds:
537 Holders
$458,162,657 Value
20.3% Owned of O/S
Other Major Holders:
387 Holders
$1,117,237,335 Value
47.3% Owned of O/S
Institutions
384 Holders
Mutual Funds
537 Holders
Other Major Holders
387 Holders
 

SHAREHOLDERS CONCENTRATION

47.9% 3.5%

Top Institutional Holders

Concentration of Current % Held
Top 10 Institutions: Ownership by top 10 institutions Top 20 Institutions: Ownership by top 20 institutions Top 50 Institutions: Ownership by top 50 institutions All: Ownership by all institutions
Low
Avg. Turnover Rating
Fairfax ...
15.6M
$117,575,744 +9% 5.0%
Low
Vanguard Group, Inc.
14.4M
$108,638,740 +9% 4.6%
Low
Barclays Global ...
13.0M
$97,681,009 +8% 4.2%
Low
State Street ...
9.5M
$71,540,153 +6% 3.0%
Low
W. H. Reaves & ...
7.2M
$54,181,309 +4% 2.3%
Moderate
MFS Investment ...
4.4M
$32,831,791 +3% 1.4%
Low
DePrince, Race & ...
3.7M
$28,194,081 +2% 1.2%
High
Mayo Investment ...
3.5M
$26,201,500 +2% 1.1%
Moderate
Citi Investment ...
3.2M
$23,831,527 +2% 1.0%
Moderate
TIAA-CREF
3.1M
$23,430,339 +2% 1.0%
Low

Top Mutual Fund Holders

Percentage of Outstanding Shares per Holdings Style (Top 10)
Index 9.0%
Core Value 1.4%
Yield 0.8%
GARP 0.6%
Low
Avg. Turnover Rating
Reaves Utility ...
4.3M
$29,857,800 +3% 1.4%
Sector Specific
Vanguard Mid-Cap ...
3.3M
$23,429,389 +2% 1.1%
Index
DNP Select ...
3.0M
$21,420,000 +2% 1.0%
Sector Specific
Vanguard 500 ...
3.0M
$21,316,870 +2% 1.0%
Index
Vanguard Total ...
2.9M
$20,669,222 +2% 0.9%
Index
SPDR Trust Series 1
2.3M
$16,664,894 +1% 0.7%
Index
Vanguard ...
2.1M
$15,166,260 +1% 0.7%
Index
iShares Dow ...
2.0M
$15,027,733 +1% 0.6%
Index
MFS Utilities Fund
1.9M
$14,013,090 +1% 0.6%
Sector Specific
MFS Variable ...
1.3M
$9,555,442 +1% 0.4%
Sector Specific