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Saturday, November 28, 2009, 1:53AM ET - U.S. Markets Closed. Dow Down 1.48% Nasdaq Down 1.73%
Pinnacle West Capital Corp. (PNW)On Nov 27: 34.90  Down 0.45 (1.27%)  
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Major HoldersGet Major Holders for:
BREAKDOWN
% of Shares Held by All Insider and 5% Owners: 0%
% of Shares Held by Institutional & Mutual Fund Owners: 79%
% of Float Held by Institutional & Mutual Fund Owners: 80%
Number of Institutions Holding Shares: 307

MAJOR DIRECT HOLDERS (FORMS 3 & 4)
HolderSharesReported
POST WILLIAM J62,21314-Sep-09
DAVIS JACK E59,50418-Mar-08
LOPEZ HUMBERTO S40,2561-Jul-09
STEWART WILLIAM36,7631-Jul-09
DENMAN JOHN R.28,11220-Feb-09


TOP INSTITUTIONAL HOLDERS
HolderShares% OutValue*Reported
PRICE (T.ROWE) ASSOCIATES INC9,579,1489.46$314,387,63730-Sep-09
STATE STREET CORPORATION7,250,5567.16$237,963,24730-Sep-09
FRANKLIN RESOURCES, INC6,182,1006.10$202,896,52230-Sep-09
Barclays Global Investors UK Holdings Ltd5,798,2475.72$190,298,46630-Sep-09
VANGUARD GROUP, INC. (THE)4,691,0744.63$153,961,04830-Sep-09
FMR LLC3,877,3373.83$127,254,20030-Sep-09
LSV ASSET MANAGEMENT2,745,0622.71$90,092,93430-Sep-09
SMITH (DONALD) & COMPANY INC.2,704,7722.67$88,770,61730-Sep-09
ADAGE CAPITAL PARTNERS GP, L.L.C.2,275,5872.25$74,684,76530-Sep-09
JANUS CAPITAL MANAGEMENT, LLC2,206,2882.18$72,410,37230-Sep-09

TOP MUTUAL FUND HOLDERS
HolderShares% OutValue*Reported
FRANKLIN CUSTODIAN FUNDS-INCOME FUND4,800,0004.74$157,536,00030-Sep-09
PRICE (T.ROWE) EQUITY INCOME FUND2,465,7002.43$80,924,27430-Sep-09
PRICE (T.ROWE) VALUE FUND2,340,0002.31$76,798,80030-Sep-09
VANGUARD SELECTED VALUE FUND2,108,0592.08$67,373,56531-Jul-09
ISHARES DOW JONES SELECT DIVIDEND INDEX FUND1,544,7221.53$48,380,69331-Oct-09
DNP SELECT INCOME FUND1,500,0001.48$45,225,00030-Jun-09
FIDELITY VALUE FUND1,372,7201.36$45,052,67030-Sep-09
VANGUARD MID-CAP INDEX FUND1,062,9241.05$32,047,15830-Jun-09
VANGUARD 500 INDEX FUND967,893.96$29,181,97330-Jun-09
PRICE (T.ROWE) MID-CAP VALUE FUND962,453.95$31,587,70730-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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