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Sunday, November 29, 2009, 6:13AM ET - U.S. Markets Closed. Dow Down 1.48% Nasdaq Down 1.73%
Knoll Inc. (KNL)On Nov 27: 9.77  Down 0.19 (1.91%)  
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Major HoldersGet Major Holders for:
BREAKDOWN
% of Shares Held by All Insider and 5% Owners: 2%
% of Shares Held by Institutional & Mutual Fund Owners: 96%
% of Float Held by Institutional & Mutual Fund Owners: 98%
Number of Institutions Holding Shares: 131

MAJOR DIRECT HOLDERS (FORMS 3 & 4)
HolderSharesReported
COGAN ANDREW B824,91022-Oct-09
MCCABE BARRY L283,36122-Oct-09
BRADLEY KATHLEEN G220,87610-Feb-09
LAPIDUS SIDNEY133,36130-Sep-09
GRAVES ARTHUR C127,65322-Oct-09


TOP INSTITUTIONAL HOLDERS
HolderShares% OutValue*Reported
FMR LLC2,991,3686.37$31,199,96830-Sep-09
WELLINGTON MANAGEMENT COMPANY, LLP2,910,2946.20$30,354,36630-Sep-09
VANGUARD GROUP, INC. (THE)2,788,4695.94$29,083,73130-Sep-09
LSV ASSET MANAGEMENT2,249,5984.79$23,463,30730-Sep-09
Barclays Global Investors UK Holdings Ltd2,238,2664.77$23,345,11430-Sep-09
WENTWORTH, HAUSER AND VIOLICH1,985,8674.23$20,712,59230-Sep-09
WEDGE Capital Management, L.L.P.1,284,6532.74$13,398,93030-Sep-09
DENVER INVESTMENT ADVISORS LLC1,159,9652.47$12,098,43430-Sep-09
LONDON COMPANY, (THE)1,135,6042.42$11,844,34930-Sep-09
COLUMBIA WANGER ASSET MANAGEMENT, L.P.6,441,25013.72$67,182,23730-Sep-09

TOP MUTUAL FUND HOLDERS
HolderShares% OutValue*Reported
COLUMBIA ACORN FD4,000,0008.52$30,320,00030-Jun-09
FIDELITY LOW-PRICED STOCK FUND2,100,0004.47$20,559,00031-Jul-09
NEUBERGER & BERMAN GENESIS FUND1,701,3003.63$17,744,55930-Sep-09
Wanger Advisor Trust-Wanger USA, Variable Series865,0001.84$6,556,70030-Jun-09
COLUMBIA ACORN USA FD780,0001.66$5,912,40030-Jun-09
ISHARES RUSSELL 2000 INDEX FD691,0701.47$7,207,86030-Sep-09
VANGUARD SMALL-CAP INDEX FUND574,7591.22$4,356,67330-Jun-09
VANGUARD STRATEGIC EQUITY FUND557,1041.19$4,222,84830-Jun-09
VANGUARD TOTAL STOCK MARKET INDEX FUND405,385.86$3,072,81830-Jun-09
BERWYN FUNDS, THE-BERWYN FUND394,000.84$4,109,42030-Sep-09

View Transactions for Insiders & Institutional Holders
* Value shown is computed using the security's price on the report date given.


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