Purchases and Sales Made in Q3 2024 in Flex Ltd. (FLEX)
This table provides information about the institutional ownership of Flex Ltd. (FLEX) during Q3 2024. The information is specifically focused on institutions that hold shares of FLEX LTD..
Report Date | Institution (Fund) | Operation | Option | Shares change | Value Range | Shares Held | Trade History |
---|---|---|---|---|---|---|---|
Nov 14, 2024
Q3 2024
|
Qube Research & Technologies LTD
London, X0 |
SELL
|
- |
-646K- 54.22% |
$18.2M - $22M
|
546K
$27.1M
|
|
Nov 14, 2024
Q3 2024
|
Schonfeld Strategic Advisors LLC
New York, NY |
SELL
|
- |
-693K- 97.9% |
$19.5M - $23.6M
|
14.8K
$736K
|
|
Nov 14, 2024
Q3 2024
|
Alliancebernstein L.P.
New York, NY |
SELL
|
- |
-757K- 5.59% |
$21.3M - $25.7M
|
12.8M
$635M
|
|
Nov 12, 2024
Q3 2024
|
Harry Burn
Sound Shore Management Inc
|
SELL
|
- |
-827K- 26.3% |
$23.2M - $28.1M
|
2.32M
$115M
|
|
Nov 14, 2024
Q3 2024
|
Merewether Investment Management, LP
Dallas, TX |
SELL
|
- |
-1.08M- 43.54% |
$30.2M - $36.6M
|
1.39M
$69.2M
|
|
Nov 08, 2024
Q3 2024
|
Primecap Management CO
Pasadena, CA |
SELL
|
- |
-1.09M- 2.47% |
$30.8M - $37.2M
|
43.2M
$2.15B
|
|
Nov 14, 2024
Q3 2024
|
Stanley Druckenmiller
Duquesne Family Office LLC | New York, Ny
|
SELL
|
- |
-1.1M- 75.92% |
$30.9M - $37.4M
|
349K
$17.3M
|
|
Nov 14, 2024
Q3 2024
|
Israel Englander
Millennium Management LLC | New York, Ny
|
SELL
|
- |
-1.19M- 73.27% |
$33.5M - $40.6M
|
435K
$21.6M
|
|
Nov 12, 2024
Q3 2024
|
Invesco Ltd.
Atlanta, GA |
SELL
|
- |
-1.64M- 30.28% |
$46.1M - $55.7M
|
3.77M
$187M
|
|
Nov 14, 2024
Q3 2024
|
Neuberger Berman Group LLC
New York, NY |
SELL
|
- |
-1.96M- 99.55% |
$55M - $66.5M
|
8.91K
$443K
|
|
Nov 14, 2024
Q3 2024
|
Alyeska Investment Group, L.P.
Chicago, IL |
SELL
|
- |
-2.37M- 60.63% |
$66.6M - $80.6M
|
1.54M
$76.4M
|
|
Nov 05, 2024
Q3 2024
|
Victory Capital Management Inc
|
SELL
|
- |
-2.75M- 31.36% |
$77.2M - $93.5M
|
6.01M
$299M
|
|
Nov 14, 2024
Q3 2024
|
Wellington Management Group LLP
Boston, MA |
SELL
|
- |
-3.72M- 9.76% |
$104M - $126M
|
34.4M
$1.71B
|