PAR · Application · 698884103
PAR Technology Corporation
Q4 2017 · compared with Q3 2017
- Tracked value
- $25.2M
- Tracked filers
- 16
Quarter history
Tracked value counts one filer from each family. Net bought is the share change from the previous quarter. History follows the CUSIP on the latest information table, and it starts when that filer’s CIK exists, so a renamed issuer or a new CIK is shorter than ten years.
- Q2 202668 filers · $17$471M−$1.9M
- Q1 202664 filers · $13$361M+$110M
- Q4 202569 filers · $36$803M+$107M
- Q3 202573 filers · $40$819M−$54.7M
- Q2 202579 filers · $69$1.4B+$51.0M
- Q1 202574 filers · $61$1.2B+$155M
- Q4 202477 filers · $73$1.2B+$154M
- Q3 202467 filers · $52$732M+$104M
- Q2 202459 filers · $47$558M+$92.0M
- Q1 202459 filers · $45$445M+$56.2M
- Q4 202352 filers · $44$371M−$12.1M
- Q3 202353 filers · $39$342M−$818K
- Q2 202350 filers · $33$293M−$2.5M
- Q1 202350 filers · $34$302M+$19.8M
- Q4 202252 filers · $26$213M−$5.2M
- Q3 202253 filers · $30$246M+$10.9M
- Q2 202254 filers · $37$301M−$44.7M
- Q1 202257 filers · $40$371M+$2.8M
- Q4 202157 filers · $53$480M+$14.1M
- Q3 202158 filers · $62$537M+$81.1M
- Q2 202159 filers · $70$529M+$9.0M
- Q1 202155 filers · $65$486M+$23.4M
- Q4 202053 filers · $63$443M+$67.8M
- Q3 202041 filers · $41$218M−$9.1M
- Q2 202036 filers · $30$170M+$7.4M
- Q1 202033 filers · $13$61.0M+$21.2M
- Q4 201938 filers · $31$136M+$7.1M
- Q3 201930 filers · $24$82.6M−$5.6M
- Q2 201929 filers · $28$103M+$14.0M
- Q1 201925 filers · $24$75.7M+$1.2M
- Q4 201827 filers · $22$66.1M+$1.9M
- Q3 201827 filers · $22$65.6M−$5.1M
- Q2 201824 filers · $18$56.6M+$9.3M
- Q1 201820 filers · $14$36.3M−$1.0M
- Q4 201716 filers · $9$25.2M+$2.6M
- Q3 201717 filers · $10$25.5M+$5.6M
- Q2 201714 filers · $9$15.2M+$2.5M
- Q1 201710 filers · $7$10.3M+$1.7M
- Q4 201610 filers · $6$6.3MFlat
- Q3 201611 filers · $5$6.2MFlat
- Q2 201611 filers · $5$5.5M—
Who owns it
- Wellington Management GroupGeneralist · 0.0% of their software1,017,503 shares$9.5M+$3.1M
- DimensionalPassive · 0.2% of their software921,978 shares$8.6M+$598K
- BlackRockPassive · 0.0% of their software273,221 shares$2.6MFlat
- Renaissance TechnologiesGeneralist · 0.0% of their software227,100 shares$2.1M−$925K
- Northern TrustPassive · 0.0% of their software51,059 shares$477KFlat
- Deutsche BankGeneralist · 0.0% of their software48,100 shares$449KFlat
- Arrowstreet Capital, Limited PartnershipGeneralist · 0.0% of their software36,594 shares$342KFlat
- California Public Employees Retirement SystemGeneralist · 0.0% of their software30,335 shares$284KFlat
- GeodePassive · 0.0% of their software27,309 shares$255KFlat
- Squarepoint OpsGeneralist · 0.1% of their software16,500 shares$154KFlat
- Millennium ManagementGeneralist · 0.0% of their software14,940 shares$140KNew
- Bank of New York MellonPassive · 0.0% of their software12,463 shares$116KFlat
- Wells FargoGeneralist · 0.0% of their software10,876 shares$101KFlat
- Manufacturers Life Insurance Company, TheGeneralist · 0.0% of their software837 shares$8KFlat
- Russell Investments GroupGeneralist · 0.0% of their software800 shares$7KFlat
- Morgan StanleyGeneralist · 0.0% of their software636 shares$6KFlat
