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INTC - Intel COM

This page shows which of the focused investors we track hold INTC and how their positions changed, so you can see how much conviction the group has in the stock.

In Q4 2010 it was held by 11 managers with an aggregate reported value of $92.92M, which is 0.03% of the combined portfolio.

As of Q4 2010, 11 tracked institutional managers held INTC (Intel COM) with an aggregate reported value of $92.92M0.03% of the combined AlphaBaseline portfolio.

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Source
Curated SEC 13F filings
Period
Q4 2010
Ticker
INTC

13F data is delayed and excludes shorts/non-13F assets.

Holders

1Mairs & Power Growth Fund - Mairs & Power Growth Fund0.90%Add +0.2%1,489,456$31.32M
2Robert Olstein - Olstein Capital Management3.04%Add +5.1%920,000$19.35M
3Torray Funds - Torray Funds2.78%-628,550$13.22M
4Prem Watsa - Fairfax Financial Holdings0.42%-11,500,000$11.46M
5Christopher Bloomstran - Semper Augustus0.00%-142,790$3M
6Hillman Value Fund - Hillman Value Fund0.41%Reduce -5.7%86,531$1.82M
7Christopher Davis - Davis Advisors 0.00%Reduce -0.2%81,600$1.72M
8Thomas Gayner - Markel Asset Management0.15%-60,000$1.26M
9David Katz - Matrix Asset Advisors0.03%New13,669$287K
10Valley Forge Capital Management - Valley Forge Capital Management0.35%New0$24.63K

Other instruments

Bonds, warrants, or other non-share-class principal positions in INTC.

1Christopher Davis - Davis Advisors -9,500,000$9.46M
Loading holder history for INTC