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Wednesday, February 10, 2010, 6:28AM ET - U.S. Markets open in 3 hours and 2 minutes. Dow Up 1.52% Nasdaq  0.00%
Bancolombia S.A. (CIB)On Feb 9: 42.70   0.00 (0.00%)  
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HereMajor Holders
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Major HoldersGet Major Holders for:
BREAKDOWN
% of Shares Held by All Insider and 5% Owners: NaN
% of Shares Held by Institutional & Mutual Fund Owners: 52%
% of Float Held by Institutional & Mutual Fund Owners: 52%
Number of Institutions Holding Shares: 105

MAJOR DIRECT HOLDERS (FORMS 3 & 4)
HolderSharesReported
No Major Direct Holder info Available for CIB

TOP INSTITUTIONAL HOLDERS
HolderShares% OutValue*Reported
Barclays Global Investors UK Holdings Ltd3,613,1242.84$155,111,41330-Sep-09
MONDRIAN INVESTMENT PARTNERS LTD3,300,6432.59$141,696,60330-Sep-09
OPPENHEIMER FUNDS, INC.2,010,4801.58$86,309,90630-Sep-09
GENESIS ASSET MANAGERS,LLP1,948,8271.53$83,663,14330-Sep-09
Allianz Global Investors of America L.P.1,905,5531.50$81,805,39030-Sep-09
PRICE (T.ROWE) ASSOCIATES INC1,878,6681.47$80,651,21730-Sep-09
BAILLIE GIFFORD AND COMPANY1,856,6001.46$79,703,83830-Sep-09
SCHRODER INVESTMENT MANAGEMENT GROUP1,650,7381.30$70,866,18230-Sep-09
VANGUARD GROUP, INC. (THE)1,319,8131.04$56,659,57230-Sep-09
Capital World Investors1,262,000.99$54,177,66030-Sep-09

TOP MUTUAL FUND HOLDERS
HolderShares% OutValue*Reported
ISHARES MSCI EMERGING MARKETS INDEX FUND3,511,5822.76$138,988,41531-Oct-09
OPPENHEIMER DEVELOPING MARKETS1,403,3001.10$49,873,28231-Aug-09
NEW WORLD FUND, INC.1,052,000.83$45,162,36030-Sep-09
Allianz Fds-NFJ International Value Fd850,000.67$36,490,50030-Sep-09
VANGUARD INTERNATIONAL STOCK INDEX-EMERGING MARKETS STK795,122.62$25,531,36731-Jul-09
PRICE (T.ROWE) LATIN AMERICA FUND591,400.46$25,388,80230-Sep-09
HARDING, LOEVNER FUNDS, INC.-EMERGING MARKETS PORTFOLIO454,000.36$14,577,94031-Jul-09
PRICE (T.ROWE) EMERGING MARKETS STOCK FUND437,600.34$18,786,16830-Sep-09
DELAWARE POOLED TRUST-EMERGING MARKETS PORTFOLIO265,400.21$8,521,99431-Jul-09
PACIFIC SELECT FUND-EMERGING MARKETS PORTFOLIO254,500.20$10,925,68530-Sep-09

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


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