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Dynavax Technologies Corp (DVAX)

Page Created: 2008-11-21 08:42:00-08Last Activity: 2008-11-17Industry: Medical-DrugsCountry: United States

Dynavax Technologies Corp (DVAX)
Contact Information

2929 Seventh Street, Suite 100,Berkeley, Ca 94710-2753, United States
Phone: 510-848-5100, Fax: 510-848-1327, Website: http://www.dynavax.com

Dynavax Technologies Corp (DVAX)
ISIN International Securities Identification Number

ISIN(s): US2681581029

Dynavax Technologies Corp (DVAX)
CUSIP Committee on Uniform Securities Identification Procedures

CUSIP(s): 268158102

Dynavax Technologies Corp (DVAX)
Stock Symbols and Exchanges

Exchange Symbol Reuters Bloomberg Exchange Name MICR ACCR City Country Website
DVAX DVAX:US Nasdaq XNAS NASDAQ New York United States www.nasdaq.com

Dynavax Technologies Corp (DVAX)
Rankings

 
Number of funds
Global RankCountry RankIndustry Rank
Owned:
54
3686308569
Score:
-0.13
6711--
Brand New:
6
3902320278
Increased Existing:
8
3846--
No Change:
16
2173--
Reduced Existing:
15
2993--
Liquidated:
6
4289336084
No Comparison Available:
3
---
Funds buying shares:
14
3920329177
Buying %:
27.45 %
71304665134
Funds not buying/selling shares:
16
---
Neutral %:
31.37 %
---
Funds selling shares:
21
3506300260
Selling %:
41.17 %
6389344093
   

Dynavax Technologies Corp (DVAX)
Owners Details

Click on column headings to sort!
Fund Fund Type Fund Perf. Report Date Current Shares Current Value Value Chng. Return Activity Shares Chng. Shares Chg.% Results
Friedman Billings Ramsey Group Inc Institution -14.54 % 2008-11-17 69,444 $10,417 $-7,639 -42.30 % No Change 0 0 % -
Millennium Management Llc Institution -12.37 % 2008-11-17 None - - - % Sold All -1,688,613 -100.00 % $185,747
Barclays Plc Institution -15.62 % 2008-11-14 73,947 $11,092 $-8,134 -42.30 % No Change 0 0 % -
Mhr Fund Management Llc Institution -21.80 % 2008-11-14 1,000,000 $150,000 $-110,000 -42.30 % Added More 375,000 60.00 % $-41,250
Marxe Austin W And Greenhouse David M Institution -15.99 % 2008-11-14 101,185 $15,178 $-11,130 -42.30 % Sold Some -253 -0.24 % $28
Sectoral Asset Management Inc Institution -11.38 % 2008-11-14 1,654,257 $248,139 $-181,968 -42.30 % Sold Some -1,020,670 -38.15 % $112,274
Bvf Inc Il Institution -14.21 % 2008-11-14 1,451,000 $217,650 $-159,610 -42.30 % New Holding 1,451,000 100.00 % $-159,610
Price T Rowe Associates Inc Institution -14.89 % 2008-11-14 45,300 $6,795 $-4,983 -42.30 % Sold Some -16,864 -27.12 % $1,855
Wellington Management Co Llp Institution -14.88 % 2008-11-14 47,403 $7,110 $-5,214 -42.30 % Sold Some -1,000 -2.06 % $110
Bridgeway Capital Management Inc Institution -15.84 % 2008-11-14 428,468 $64,270 $-47,131 -42.30 % Added More 312,749 270.26 % $-34,402
Deerfield Management Co Institution -12.51 % 2008-11-14 4,851,538 $727,731 $-533,669 -42.30 % No Change 0 0 % -
Citadel L P Institution -14.79 % 2008-11-14 169,175 $25,376 $-18,609 -42.30 % Sold Some -61,913 -26.79 % $6,810
Geode Capital Management Llc Institution -13.46 % 2008-11-14 59,846 $8,977 $-6,583 -42.30 % Sold Some -441 -0.73 % $49
Rbc Dain Rauscher Inc Institution -12.91 % 2008-11-14 4,128 $619 $-454 -42.30 % No Change 0 0 % -
Renaissance Technologies Corp Institution -13.73 % 2008-11-14 217,400 $32,610 $-23,914 -42.30 % Sold Some -227,590 -51.14 % $25,035
Shaw D E And Co Inc Institution -16.06 % 2008-11-14 252,919 $37,938 $-27,821 -42.30 % Sold Some -4,262 -1.65 % $469
Citigroup Inc Institution -14.19 % 2008-11-14 14,050 $2,108 $-1,546 -42.30 % New Holding 14,050 100.00 % $-1,546
Pnc Financial Services Group Inc Institution -11.82 % 2008-11-14 5,000 $750 $-550 -42.30 % No Change 0 0 % -
California Public Employees Retirement System Institution -11.18 % 2008-11-13 126,600 $18,990 $-17,724 -48.27 % No Change 0 0 % -
Spark Lp Institution -14.13 % 2008-11-13 80,700 $12,105 $-11,298 -48.27 % Sold Some -22,200 -21.57 % $3,108
Dafna Capital Management Llc Institution -10.20 % 2008-11-13 15,800 $2,370 $-2,212 -48.27 % No Change 0 0 % -
Credit Suisse Institution -12.66 % 2008-11-13 103,613 $15,542 $-14,506 -48.27 % New Holding 103,613 100.00 % $-14,506
J P Morgan Chase And Co Institution -11.71 % 2008-11-13 131,069 $19,660 $-18,350 -48.27 % Sold Some -251,000 -65.69 % $35,140
Bartlett And Co Institution -11.14 % 2008-11-13 500 $75 $-70 -48.27 % New Holding 500 100.00 % $-70
Northern Trust Corp Institution -11.31 % 2008-11-13 73,450 $11,018 $-10,283 -48.27 % Added More 34,401 88.09 % $-4,816
Mfc Global Investment Management Usa Ltd Institution -17.28 % 2008-11-13 None - - - % Sold All -1,626 -100.00 % $228
Amvescap Plc Institution -12.85 % 2008-11-13 348 $52 $-49 -48.27 % No Change 0 0 % -
Ubs Ag Institution -14.66 % 2008-11-13 97 $15 $-14 -48.27 % New Holding 97 100.00 % $-14
Jacobs Levy Equity Management Inc Institution -14.34 % 2008-11-13 111,386 $16,708 $-15,594 -48.27 % Sold Some -6,800 -5.75 % $952
Labranche And Co Inc Institution % 2008-11-12 23,107 % Sold Some -2,184 -8.63 %
Federated Investors Inc Institution % 2008-11-12 7,350,803 % Sold Some -563,897 -7.12 %
Oppenheimer And Co Inc Institution % 2008-11-12 None - - - % Sold All -48,500 -100.00 %
First New York Securities Llc Institution % 2008-11-12 76,000 % New Holding 76,000 100.00 %
Barclays Global Investors Uk Holdings Ltd Institution % 2008-11-12 456,755 % Added More 114,648 33.51 %
Nomura Asset Management Co Ltd Institution % 2008-11-12 None - - - % Sold All -160,000 -100.00 %
Ameriprise Financial Inc Institution % 2008-11-10 203,070 % Added More 132,065 185.99 %
California State Teachers Retirement System Institution -18.60 % 2008-11-07 15,391 $2,309 $-2,309 -50.00 % No Change 0 0 % -
William Harris Investors Inc Institution -19.63 % 2008-11-07 790,000 $118,500 $-118,500 -50.00 % No Change 0 0 % -
Vanguard Group Inc Institution -17.44 % 2008-11-06 233,389 $35,008 $-30,341 -46.42 % Added More 233,055 69776.94 % $-30,297
Strs Ohio Institution -22.76 % 2008-11-03 0 $0 % No Change 0 0 % -
Pharmaceuticals Portfolio (Fidelity Select Portfolios) Health/Biotech -11.76 % 2008-10-31 None - - - % Sold All -100 -100.00 % $15
Bank Of New York Mellon Corp Institution -22.62 % 2008-10-31 61,546 $9,232 $-9,232 -50.00 % No Change 0 0 % -
Fidelity Nasdaq Composite Index Fund (Fidelity Commonwealth Trust) Specialty & Misc -22.45 % 2008-10-30 1,092 $164 $-164 -50.00 % No Compare - - % -
Blackrock Investment Management Llc Institution -20.73 % 2008-10-30 4,700 $705 $-705 -50.00 % No Change 0 0 % -
Dimensional Fund Advisors Inc Institution -24.22 % 2008-10-30 763,278 $114,492 $-114,492 -50.00 % Sold Some -33,324 -4.18 % $4,999
International Core Equity Portfolio (Dfa Investment Dimensions Group Inc) International Small-M ... -21.50 % 2008-10-30 4,600 $690 $-690 -50.00 % Sold Some -26,773 -85.33 % $4,016
Granahan Investment Management Inc Institution -18.73 % 2008-10-23 110,000 $16,500 $-19,800 -54.54 % No Change 0 0 % -
Harris Financial Corp Institution -29.10 % 2008-10-07 240,000 $36,000 $-259,200 -87.80 % No Change 0 0 % -
Powershares Zacks Small Cap Portfolio (Powershares Exchange Traded Fund Trust) Small-Cap Core -41.16 % 2008-09-29 348 $52 $-515 -90.79 % No Compare - - % -
Global Small Cap Fund (Old Westbury Funds Inc) Global Small/Mid-Cap ... -38.24 % 2008-09-25 8,400 $1,260 $-9,492 -88.28 % No Compare - - % -
Sa International Small Company Fund (Sa Funds Investment Trust) Small-Cap Core -33.67 % 2008-09-08 None - - - % Sold All -9,900 -100.00 % $11,880
Vanguard Extended Market Index Fund (Vanguard Index Funds) Mid-Cap Core -48.74 % 2008-08-29 122,692 $18,404 $-182,811 -90.85 % Added More 22,200 22.09 % $-33,078
Vanguard Total Stock Market Index Fund (Vanguard Index Funds) Multi-Cap Core -42.72 % 2008-08-29 94,485 $14,173 $-140,783 -90.85 % Added More 1,400 1.50 % $-2,086
Small Company Growth Portfolio (Vanguard Variable Insurance Funds) Small-Cap Growth -45.20 % 2008-08-26 110,000 $16,500 $-181,500 -91.66 % No Change 0 0 % -
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Listed 54 holdings.
 

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Note: All amounts are based on price of stock at date reported versus the current price! They do not represent actual profit/loss!
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