Avid Technology, Inc.
Hedge Funds Holdings

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Avid Technology, Inc.‘s stocks are currently a part of 145 hedge funds’ portfolios, which represents 82.62% of the total amount of its stocks outstanding. This makes up a total of 37.26M shares of Avid Technology, Inc.. Compared to the previous quarter, the number grew by 3.42% or 1.23M shares more. As for the holding position changes, 31.03% (45) of current hedge fund investors increased the number of shares held, 33.1% (48) of current holders sold a part of the shares held, and 13.1% (19) closed the holdings completely. 31 hedge funds are new holders of Avid Technology, Inc. stock in Q3 2022, it is 21.38% of total holders.

Hedge funds holding Avid Technology (Q4 2017 – Q3 2022)

Number of hedge funds
Q4 2017 91
Q1 2018 79
Q2 2018 83
Q3 2018 74
Q4 2018 81
Q1 2019 95
Q2 2019 98
Q3 2019 91
Q4 2019 83
Q1 2020 90
Q2 2020 92
Q3 2020 100
Q4 2020 116
Q1 2021 125
Q2 2021 136
Q3 2021 143
Q4 2021 154
Q1 2022 142
Q2 2022 147
Q3 2022 145

Hedge funds changes in Avid Technology positions (Q4 2017 – Q3 2022)

Changes in positions
Q4 2017 25322511-2
Q1 2018 7233718-6
Q2 2018 12233486
Q3 2018 9233017-5
Q4 2018 16292394
Q1 2019 23283095
Q2 2019 25402318-8
Q3 2019 14303621-10
Q4 2019 11253619-8
Q1 2020 18273610-1
Q2 2020 22411820-9
Q3 2020 23294014-6
Q4 2020 31353913-2
Q1 2021 27404818-8
Q2 2021 37355524-15
Q3 2021 29504622-4
Q4 2021 34426221-5
Q1 2022 16436127-5
Q2 2022 284650194
Q3 2022 314548192

Hedge funds changes in Avid Technology stock options (Q4 2017 – Q3 2022)

Changes in stock options
Q4 2017 309,000 154,000
Q1 2018 130,000 33,000
Q2 2018 161,000 76,000
Q3 2018 89,000 36,000
Q4 2018 50,000 0
Q1 2019 1,429,000 76,000
Q2 2019 817,000 329,000
Q3 2019 694,000 171,000
Q4 2019 902,000 632,000
Q1 2020 318,000 570,000
Q2 2020 891,000 857,000
Q3 2020 773,000 983,000
Q4 2020 825,000 1,890,000
Q1 2021 5,054,000 6,305,000
Q2 2021 21,486,960 4,834,000
Q3 2021 2,568,000 3,269,000
Q4 2021 1,283,000 921,000
Q1 2022 1,509,000 369,000
Q2 2022 688,000 555,000
Q3 2022 1,506,000 997,000

Top 50 hedge fund holders of Avid Technology, Inc. (NASDAQ:AVID)

Hedge fund Value Shares owned Portfolio share
IMPACTIVE CAPITAL LP 165.88M 7.13M 8.649%
BLACKROCK INC. Larry Fink 125.84M 5.41M 0.004%
FMR LLC 104.74M 4.50M 0.011%
ROYCE & ASSOCIATES LP 61.96M 2.66M 0.701%
VANGUARD GROUP INC 57.90M 2.48M 0.002%
DIMENSIONAL FUND ADVISORS LP 29.53M 1.26M 0.011%
STATE STREET CORP 27.65M 1.18M 0.002%
COWBIRD CAPITAL LP 20.43M 878.56K 12.959%
PORTOLAN CAPITAL MANAGEMENT, LLC 20.29M 872.37K 2.144%
GILDER GAGNON HOWE & CO LLC 16.59M 713.54K 0.290%
CONGRESS ASSET MANAGEMENT CO /MA 15.10M 649.32K 0.162%
GEODE CAPITAL MANAGEMENT, LLC 15.06M 647.68K 0.002%
LOOMIS SAYLES & CO L P 13.67M 588.08K 0.028%
ATIKA CAPITAL MANAGEMENT LLC 13.08M 562.68K 1.110%
DAVENPORT & CO LLC 12.11M 520.87K 0.105%
JACOBS LEVY EQUITY MANAGEMENT, INC 11.95M 514.08K 0.095%
ACADIAN ASSET MANAGEMENT LLC 10.44M 449.29K 0.057%
JPMORGAN CHASE & CO 8.40M 361.28K 0.001%
NORTHERN TRUST CORP 8.36M 359.70K 0.002%
CHARLES SCHWAB INVESTMENT MANAGEMENT INC 7.75M 333.26K 0.003%
BANK OF NEW YORK MELLON CORP 7.18M 309.07K 0.002%
HERALD INVESTMENT MANAGEMENT LTD 6.96M 300K 1.718%
LORD, ABBETT & CO. LLC 6.18M 266.06K 0.023%
RENAISSANCE TECHNOLOGIES LLC Jim Simons 5.71M 245.5K 0.008%
NUVEEN ASSET MANAGEMENT, LLC 5.68M 244.29K 0.002%
HEALTHCARE OF ONTARIO PENSION PLAN TRUST FUND 5.09M 219.2K 0.025%
KESTREL INVESTMENT MANAGEMENT CORP 4.89M 210.25K 3.099%
PRINCIPAL FINANCIAL GROUP INC 4.88M 210.02K 0.004%
KING LUTHER CAPITAL MANAGEMENT CORP 4.84M 208.32K 0.029%
VOYA INVESTMENT MANAGEMENT LLC 4.18M 180.11K 0.004%
INVESCO LTD. 4.10M 176.55K 0.001%
MORGAN STANLEY 4.04M 173.94K 0.001%
HILLSDALE INVESTMENT MANAGEMENT INC. 4.04M 173.7K 0.365%
BARCLAYS PLC 4.02M 172.96K 0.004%
AMERIPRISE FINANCIAL INC 3.68M 158.36K 0.001%
CONGRESS WEALTH MANAGEMENT LLC / DE / 3.45M 148.57K 0.093%
MARATHON CAPITAL MANAGEMENT 3.43M 147.58K 0.981%
D. E. SHAW & CO., INC. David E. Shaw 3.41M 146.67K 0.004%
ASSENAGON ASSET MANAGEMENT S.A. 3.36M 144.8K 0.013%
GOLDMAN SACHS GROUP INC 2.99M 128.60K 0.001%
LAZARD ASSET MANAGEMENT LLC 2.94M 126.65K 0.004%
SEI INVESTMENTS CO 2.77M 119.46K 0.006%
OTTER CREEK ADVISORS, LLC 2.74M 118.15K 2.235%
ALGERT GLOBAL LLC 2.61M 112.38K 0.158%
O'BRIEN GREENE & CO. INC 2.59M 111.67K 0.344%
BANK OF MONTREAL /CAN/ 2.51M 107K 0.001%
TWO SIGMA ADVISERS, LP 2.42M 104.2K 0.007%
VOLORIDGE INVESTMENT MANAGEMENT, LLC 2.42M 104.02K 0.013%
RHUMBLINE ADVISERS 2.28M 98.18K 0.003%
OAK RIDGE INVESTMENTS LLC 2.28M 98.11K 0.346%