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 STI Down1.77%

DeVry, Inc. (DV)

-NYSE

30.86 Up 0.03(0.10%) 04:05 SGT|After Hours : 30.86 0.00 (0.00%) 04:05 SGT

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Major HoldersGet Major Holders for:
Breakdown
% of Shares Held by All Insider and 5% Owners:10%
% of Shares Held by Institutional & Mutual Fund Owners:98%
% of Float Held by Institutional & Mutual Fund Owners:109%
Number of Institutions Holding Shares:219

Major Direct Holders (Forms 3 & 4)
HolderSharesReported
TAYLOR RONALD L971,254May 14, 2013
HAMBURGER DANIEL84,168Mar 1, 2013
WIGGINS TIMOTHY J32,205Feb 26, 2013
PAULDINE DAVID J25,666Mar 25, 2013
MCGEE JULIE A25,132Nov 3, 2012


Top Institutional Holders
HolderShares% OutValue*Reported
BAMCO Inc.4,327,2346.88137,389,679Mar 31, 2013
FMR, LLC4,173,3606.64132,504,180Mar 31, 2013
Ariel Investments, LLC3,324,2955.29105,546,366Mar 31, 2013
International Value Advisers, LLC2,829,0054.5089,820,908Mar 31, 2013
Vanguard Group, Inc. (The)2,820,2654.4889,543,413Mar 31, 2013
First Pacific Advisors, Inc2,443,2003.8977,571,600Mar 31, 2013
Burgundy Asset Management Ltd.2,287,9613.6472,642,761Mar 31, 2013
State Street Corporation1,784,7052.8456,664,383Mar 31, 2013
BlackRock Institutional Trust Company, N.A.1,725,8382.7454,795,356Mar 31, 2013
Columbia Wanger Asset Management, L.P.1,393,0002.2244,227,750Mar 31, 2013

Top Mutual Fund Holders
HolderShares% OutValue*Reported
Aston/Fairpointe Mid Cap Fund4,531,0007.21143,859,250Mar 31, 2013
Baron Growth Fund3,250,0005.1777,122,500Dec 31, 2012
IVA Fiduciary Tr-IVA Worldwide Fd1,981,8553.1547,029,419Dec 31, 2012
Fidelity Series Large Cap Value Fund1,574,8502.5050,001,487Mar 31, 2013
Columbia Acorn Fund1,300,0002.0730,849,000Dec 31, 2012
Ariel Fund1,176,4901.8737,353,557Mar 31, 2013
FPA Capital Fund1,015,0001.6132,226,250Mar 31, 2013
Vanguard Small-Cap Index Fund958,1221.5222,736,235Dec 31, 2012
Fidelity Canadian Large Cap Fund830,0001.3216,292,900Jul 31, 2012
Vanguard Total Stock Market Index Fund787,1381.2518,678,784Dec 31, 2012

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Value shown is computed using the security's price on the report date given.

Currency in USD.