| Filed | As-Of/On | Form | Fullname | Fund Class | Shares | Activity | Shares Change | Shares Pct. Change | Hypothetical Old Value | Hypothetical New Value | Hypothetical Value Chg. | Hypotheticals Return |
Hypotheticals Results |
Director |
Other |
Ten Pct |
Officer |
Officer Title |
News Article |
History |
|---|
| 2009-11-17 | 2009-09-30 | 13F-HR | Wells Fargo And Co | Institution | 29,400 | Added More | 200 | 0.68 % | $88,494 | $88,200 | $-294 | -0.33 % | $-2 | | | | | | News Article | History of Wells Fargo And Co Ownership Of California Micro Devices Corp |
| 2009-11-16 | 2009-09-30 | 13F-HR | Fmr Corp | Institution | 537,400 | Added More | 223,100 | 70.98 % | $1,682,062 | $1,612,200 | $-69,862 | -4.15 % | $-29,003 | | | | | | News Article | History of Fmr Corp Ownership Of California Micro Devices Corp |
| 2009-11-16 | 2009-09-30 | 13F-HR | Harvey Partners Llc | Institution | 800,000 | Sold Some | -52,500 | -6.15 % | $2,504,000 | $2,400,000 | $-104,000 | -4.15 % | $6,825 | | | | | | News Article | History of Harvey Partners Llc Ownership Of California Micro Devices Corp |
| 2009-11-16 | 2009-09-30 | 13F-HR | Northern Trust Corp | Institution | 94,663 | Added More | 29,920 | 46.21 % | $296,295 | $283,989 | $-12,306 | -4.15 % | $-3,890 | | | | | | News Article | History of Northern Trust Corp Ownership Of California Micro Devices Corp |
| 2009-11-16 | 2009-09-30 | 13F-HR | S Squared Technology Llc | Institution | 87,600 | Sold Some | -491,400 | -84.87 % | $274,188 | $262,800 | $-11,388 | -4.15 % | $63,882 | | | | | | News Article | History of S Squared Technology Llc Ownership Of California Micro Devices Corp |
| 2009-11-13 | 2009-09-30 | 13F-HR | Ameriprise Financial Inc | Institution | 1,243,100 | Added More | 215,200 | 20.93 % | $3,729,300 | $3,729,300 | $0 | 0.00 % | $0 | | | | | | News Article | History of Ameriprise Financial Inc Ownership Of California Micro Devices Corp |
| 2009-11-13 | 2009-09-30 | 13F-HR | Axa | Institution | | Sold All | -100 | -100 % | | | | 0.00 % | $0 | | | | | | News Article | History of Axa Ownership Of California Micro Devices Corp |
| 2009-11-13 | 2009-09-30 | 13F-HR | Dialectic Capital Management Llc | Institution | 2,025,011 | No Change | 0 | 0 % | $6,075,033 | $6,075,033 | $0 | 0.00 % | $0 | | | | | | News Article | History of Dialectic Capital Management Llc Ownership Of California Micro Devices Corp |
| 2009-11-13 | 2009-09-30 | 13F-HR | Gartmore Mutual Fund Capital Trust | Institution | 3 | New Holding | 3 | 100 % | $9 | $9 | $0 | 0.00 % | $0 | | | | | | News Article | History of Gartmore Mutual Fund Capital Trust Ownership Of California Micro Devices Corp |
| 2009-11-13 | 2009-09-30 | 13F-HR | Geode Capital Management Llc | Institution | 31,009 | No Change | 0 | 0 % | $93,027 | $93,027 | $0 | 0.00 % | $0 | | | | | | News Article | History of Geode Capital Management Llc Ownership Of California Micro Devices Corp |
| 2009-11-13 | 2009-09-30 | 13F-HR | Price T Rowe Associates Inc | Institution | 1,670,900 | Added More | 500 | 0.02 % | $5,012,700 | $5,012,700 | $0 | 0.00 % | $0 | | | | | | News Article | History of Price T Rowe Associates Inc Ownership Of California Micro Devices Corp |
| 2009-11-13 | 2009-09-30 | 13F-HR | Renaissance Technologies Corp | Institution | 1,071,000 | Added More | 9,900 | 0.93 % | $3,213,000 | $3,213,000 | $0 | 0.00 % | $0 | | | | | | News Article | History of Renaissance Technologies Corp Ownership Of California Micro Devices Corp |
| 2009-11-13 | 2009-09-30 | 13F-HR | Vanguard Group Inc | Institution | 415,643 | Added More | 296 | 0.07 % | $1,246,929 | $1,246,929 | $0 | 0.00 % | $0 | | | | | | News Article | History of Vanguard Group Inc Ownership Of California Micro Devices Corp |
| 2009-11-12 | 2009-09-30 | 13F-HR | Bank Of America Corp | Institution | 100,000 | No Change | 0 | 0 % | $288,000 | $300,000 | $12,000 | 4.16 % | $0 | | | | | | News Article | History of Bank Of America Corp Ownership Of California Micro Devices Corp |
| 2009-11-12 | 2009-09-30 | 13F-HR | Barclays Global Investors Uk Holdings Ltd | Institution | 643,133 | Sold Some | -15,892 | -2.41 % | $1,852,223 | $1,929,399 | $77,176 | 4.16 % | $-1,907 | | | | | | News Article | History of Barclays Global Investors Uk Holdings Ltd Ownership Of California Micro Devices Corp |
| 2009-11-12 | 2009-09-30 | 13F-HR | Gamco Investors Inc Et Al | Institution | 2,184,150 | Sold Some | -800 | -0.03 % | $6,290,352 | $6,552,450 | $262,098 | 4.16 % | $-96 | | | | | | News Article | History of Gamco Investors Inc Et Al Ownership Of California Micro Devices Corp |
| 2009-11-12 | 2009-09-30 | 13F-HR | Susquehanna International Group Llp | Institution | | Sold All | -2,755 | -100 % | | | | 4.16 % | $-331 | | | | | | News Article | History of Susquehanna International Group Llp Ownership Of California Micro Devices Corp |
| 2009-11-10 | 2009-09-30 | 13F-HR | Clarivest Asset Management Llc | Institution | 43,400 | No Change | 0 | 0 % | $129,332 | $130,200 | $868 | 0.67 % | $0 | | | | | | News Article | History of Clarivest Asset Management Llc Ownership Of California Micro Devices Corp |
| 2009-11-02 | 2009-08-31 | N-CSRS | Fidelity Select Portfolios - Electronics Portfolio | Science & Tech | 529,974 | Added More | 220,000 | 70.97 % | $1,605,821 | $1,589,922 | $-15,899 | -0.99 % | $-6,600 | | | | | | News Article | History of Fidelity Select Portfolios - Electronics Portfolio Ownership Of California Micro Devices Corp |
| 2009-10-30 | 2009-08-31 | N-Q | Fidelity Commonwealth Trust - Fidelity Nasdaq Composite Index Tracking Stock | Specialty & Misc | 1,456 | No Compare | | | $4,353 | $4,368 | $15 | 0.33 % | | | | | | | News Article | History of Fidelity Commonwealth Trust - Fidelity Nasdaq Composite Index Tracking Stock Ownership Of California Micro Devices Corp |
| 2009-10-29 | 2009-09-30 | 13F-HR | Dimensional Fund Advisors Inc | Institution | 1,773,513 | Added More | 9,482 | 0.53 % | $5,001,307 | $5,320,539 | $319,232 | 6.38 % | $1,707 | | | | | | News Article | History of Dimensional Fund Advisors Inc Ownership Of California Micro Devices Corp |
| 2009-10-29 | 2009-09-30 | 13F-HR | Wealthtrust Axiom Llc | Institution | 54,500 | Sold Some | -1,000 | -1.80 % | $153,690 | $163,500 | $9,810 | 6.38 % | $-180 | | | | | | News Article | History of Wealthtrust Axiom Llc Ownership Of California Micro Devices Corp |
| 2009-10-26 | 2009-06-30 | 13F-HR/A | Ameriprise Financial Inc | Institution | 1,027,900 | Sold Some | -127,400 | -11.02 % | $3,114,537 | $3,083,700 | $-30,837 | -0.99 % | $3,822 | | | | | | News Article | History of Ameriprise Financial Inc Ownership Of California Micro Devices Corp |
| 2009-10-23 | 2009-09-30 | 13F-HR | Brightfield Capital Management Llc | Institution | 295,000 | Added More | 130,493 | 79.32 % | $902,700 | $885,000 | $-17,700 | -1.96 % | $-7,830 | | | | | | News Article | History of Brightfield Capital Management Llc Ownership Of California Micro Devices Corp |
| 2009-10-22 | 2009-09-30 | 13F-HR | Blackrock Investment Management Llc | Institution | 4,000 | No Change | 0 | 0 % | $11,840 | $12,000 | $160 | 1.35 % | $0 | | | | | | News Article | History of Blackrock Investment Management Llc Ownership Of California Micro Devices Corp |
| 2009-10-21 | 2009-09-30 | 13F-HR | Bank Of New York Mellon Corp | Institution | 57,883 | No Change | 0 | 0 % | $177,122 | $173,649 | $-3,473 | -1.96 % | $0 | | | | | | News Article | History of Bank Of New York Mellon Corp Ownership Of California Micro Devices Corp |
| 2009-10-20 | 2009-09-30 | 13F-HR | Public Employees Retirement Association Of Colorado | Institution | 20,900 | No Change | 0 | 0 % | $63,118 | $62,700 | $-418 | -0.66 % | $0 | | | | | | News Article | History of Public Employees Retirement Association Of Colorado Ownership Of California Micro Devices Corp |
| 2009-10-15 | 2008-06-30 | 13F-HR/A | Clarivest Asset Management Llc | Institution | 43,400 | New Holding | 43,400 | 100 % | $139,314 | $130,200 | $-9,114 | -6.54 % | $-9,114 | | | | | | News Article | History of Clarivest Asset Management Llc Ownership Of California Micro Devices Corp |
| 2009-10-13 | 2009-09-30 | 13F-HR | Perritt Capital Management Inc | Institution | 199,300 | No Change | 0 | 0 % | $607,865 | $597,900 | $-9,965 | -1.63 % | $0 | | | | | | News Article | History of Perritt Capital Management Inc Ownership Of California Micro Devices Corp |
| 2009-10-07 | 2009-07-31 | N-CSR | Fidelity Advisor Series Vii - Fidelity Advisor Electronics Fund | Science & Tech | 24,852 | Added More | 20,226 | 437.22 % | $73,810 | $74,556 | $746 | 1.01 % | $607 | | | | | | News Article | History of Fidelity Advisor Series Vii - Fidelity Advisor Electronics Fund Ownership Of California Micro Devices Corp |
| 2009-09-29 | 2009-07-31 | N-Q | Dfa Investment Dimensions Group Inc - International Core Equity Portfolio | International Small-Mid-Cap Value | 34,863 | Added More | 800 | 2.34 % | $108,424 | $104,589 | $-3,835 | -3.53 % | $-88 | | | | | | News Article | History of Dfa Investment Dimensions Group Inc - International Core Equity Portfolio Ownership Of California Micro Devices Corp |
| 2009-09-29 | 2009-07-31 | N-Q | Dfa Investment Dimensions Group Inc - International Vector Equity Portfolio | No Data | 22,287 | No Change | 0 | 0 % | $69,313 | $66,861 | $-2,452 | -3.53 % | $0 | | | | | | News Article | History of Dfa Investment Dimensions Group Inc - International Vector Equity Portfolio Ownership Of California Micro Devices Corp |
| 2009-09-29 | 2009-07-31 | N-Q | Dfa Investment Dimensions Group Inc - Us Sustainability Core 1 Portfolio | No Data | 700 | New Holding | 700 | 100 % | $2,177 | $2,100 | $-77 | -3.53 % | $-77 | | | | | | News Article | History of Dfa Investment Dimensions Group Inc - Us Sustainability Core 1 Portfolio Ownership Of California Micro Devices Corp |
| 2009-09-29 | 2009-07-31 | N-Q | Dfa Investment Dimensions Group Inc - Va International Value Portfolio | Multi-Cap Value | 8,400 | No Change | 0 | 0 % | $26,124 | $25,200 | $-924 | -3.53 % | $0 | | | | | | News Article | History of Dfa Investment Dimensions Group Inc - Va International Value Portfolio Ownership Of California Micro Devices Corp |
| 2009-09-29 | 2009-07-31 | N-Q | Dfa Investment Dimensions Group Inc - Va Small Value Portfolio | Small-Cap Value | 745,104 | No Change | 0 | 0 % | $2,317,273 | $2,235,312 | $-81,961 | -3.53 % | $0 | | | | | | News Article | History of Dfa Investment Dimensions Group Inc - Va Small Value Portfolio Ownership Of California Micro Devices Corp |
| 2009-09-29 | 2009-07-31 | N-Q | Dfa Investment Trust Co - International Value Series | Multi-Cap Value | 36,836 | No Change | 0 | 0 % | $114,560 | $110,508 | $-4,052 | -3.53 % | $0 | | | | | | News Article | History of Dfa Investment Trust Co - International Value Series Ownership Of California Micro Devices Corp |
| 2009-09-24 | 2009-07-31 | N-Q | Nationwide Mutual Funds - Nationwide Large Cap Value Fund | Large-Cap Value | | Sold All | -800 | -100 % | | | | -3.84 % | $96 | | | | | | News Article | History of Nationwide Mutual Funds - Nationwide Large Cap Value Fund Ownership Of California Micro Devices Corp |
| 2009-09-23 | 2009-07-31 | N-Q | Perritt Funds Inc - Perritt Emerging Opportunities Fund | Small-Cap Value | 199,300 | No Change | 0 | 0 % | $629,788 | $597,900 | $-31,888 | -5.06 % | $0 | | | | | | News Article | History of Perritt Funds Inc - Perritt Emerging Opportunities Fund Ownership Of California Micro Devices Corp |
| 2009-09-23 | 2009-07-31 | N-Q | Perritt Microcap Opportunities Fund Inc - Perritt Microcap Opportunities Fund | Specialty & Misc | | Sold All | -199,300 | -100 % | | | | -5.06 % | $31,888 | | | | | | News Article | History of Perritt Microcap Opportunities Fund Inc - Perritt Microcap Opportunities Fund Ownership Of California Micro Devices Corp |
| 2009-09-11 | 2009-06-30 | 13F-HR/A | Barclays Global Investors Uk Holdings Ltd | Institution | 659,025 | Added More | 20,474 | 3.20 % | $2,095,700 | $1,977,075 | $-118,625 | -5.66 % | $-3,685 | | | | | | News Article | History of Barclays Global Investors Uk Holdings Ltd Ownership Of California Micro Devices Corp |
| 2009-09-04 | 2009-06-30 | N-CSRS | Eq Advisors Trust - Eqalliancebernstein Value Portfolio | Multi-Cap Value | 868,300 | No Change | 0 | 0 % | $2,570,168 | $2,604,900 | $34,732 | 1.35 % | $0 | | | | | | News Article | History of Eq Advisors Trust - Eqalliancebernstein Value Portfolio Ownership Of California Micro Devices Corp |
| 2009-09-04 | 2009-06-30 | N-CSRS | Gamco Global Series Funds Inc - Gabelli Global Telecommunications Fund | Telecommunication | | Sold All | -50,000 | -100 % | | | | 1.35 % | $-2,000 | | | | | | News Article | History of Gamco Global Series Funds Inc - Gabelli Global Telecommunications Fund Ownership Of California Micro Devices Corp |
| 2009-09-04 | 2009-06-30 | N-CSRS | Vanguard Institutional Index Funds - Vanguard Institutional Index Fund | Specialty & Misc | | Sold All | -56,097 | -100 % | | | | 1.35 % | $-2,244 | | | | | | News Article | History of Vanguard Institutional Index Funds - Vanguard Institutional Index Fund Ownership Of California Micro Devices Corp |
| 2009-09-01 | 2009-06-30 | 13F-HR/A | Fmr Corp | Institution | 314,300 | Sold Some | -67,900 | -17.76 % | $867,468 | $942,900 | $75,432 | 8.69 % | $-16,296 | | | | | | News Article | History of Fmr Corp Ownership Of California Micro Devices Corp |
| 2009-08-31 | 2009-06-30 | N-Q | Westwood Funds - Westwood Balanced Fund | Mixed-Asset Target Allocation Moderate | | Sold All | -2,850 | -100 % | | | | 3.80 % | $-314 | | | | | | News Article | History of Westwood Funds - Westwood Balanced Fund Ownership Of California Micro Devices Corp |
| 2009-08-28 | 2009-06-30 | N-Q | Ishares Trust - Ishares Russell Microcap Index Fund | Specialty & Misc | 47,659 | Added More | 4,658 | 10.83 % | $134,875 | $142,977 | $8,102 | 6.00 % | $792 | | | | | | News Article | History of Ishares Trust - Ishares Russell Microcap Index Fund Ownership Of California Micro Devices Corp |
| 2009-08-28 | 2009-06-30 | 13F-HR/A | Wells Fargo And Co | Institution | 29,200 | No Change | 0 | 0 % | $82,636 | $87,600 | $4,964 | 6.00 % | $0 | | | | | | News Article | History of Wells Fargo And Co Ownership Of California Micro Devices Corp |
| 2009-08-27 | 2009-06-30 | N-CSRS | Vanguard Index Funds - Vanguard Extended Market Index Fund | Mid-Cap Core | 79,885 | New Holding | 79,885 | 100 % | $223,678 | $239,655 | $15,977 | 7.14 % | $15,977 | | | | | | News Article | History of Vanguard Index Funds - Vanguard Extended Market Index Fund Ownership Of California Micro Devices Corp |
| 2009-08-27 | 2009-06-30 | N-CSRS | Vanguard Index Funds - Vanguard Total Stock Market Index Fund | Multi-Cap Core | 269,537 | New Holding | 269,537 | 100 % | $754,704 | $808,611 | $53,907 | 7.14 % | $53,907 | | | | | | News Article | History of Vanguard Index Funds - Vanguard Total Stock Market Index Fund Ownership Of California Micro Devices Corp |
| 2009-08-27 | 2008-06-30 | N-CSRS | Vanguard Balanced Index Funds - Vanguard Balanced Index Fund | Mixed-Asset Target Allocation Growth | 9,828 | No Change | 0 | 0 % | $27,518 | $29,484 | $1,966 | 7.14 % | $0 | | | | | | News Article | History of Vanguard Balanced Index Funds - Vanguard Balanced Index Fund Ownership Of California Micro Devices Corp |
| 2009-08-19 | 2009-06-30 | 13F-HR/A | Harvey Partners Llc | Institution | 852,500 | Added More | 202,500 | 31.15 % | $2,421,100 | $2,557,500 | $136,400 | 5.63 % | $32,400 | | | | | | News Article | History of Harvey Partners Llc Ownership Of California Micro Devices Corp |
![]() |
| |
Note: All amounts are based on price of stock at date reported versus the current price! They do not represent actual profit/loss! There has been no adjustmentsfor splits! |
| Note: All amounts in USD, converted using Intrabank Exchange Rate on Date Reported/Today |
|
Information is provided 'as is' and solely for informational purposes, not for trading purposes or advice, and may be inaccurate!
|
| Note: For security reasons, only (A-Z,a-z,0-9,space,period,colon,comma,forward slash,at) can be inputed - all others are stripped automatically! |
|
Copyright © 2007 All rights reserved. Please see our Terms of Use.
|
|
![]() |