MYR GROUP INC. - Common Stock (MYRG)

CUSIP: 55405W104

Q3 2017 13F Holders as of 30 Sep 2017

Type / Class
Equity / Common Stock
Shares outstanding
15,474,136
Total 13F shares
14,134,121
Share change
-137,570
Total reported value
$411,744,599
Put/Call ratio
0%
Price per share
$29.14
Number of holders
140
Value change
-$5,306,776
Number of buys
72
Number of sells
62

Quarterly Holders Quick Answers

What is CUSIP 55405W104?
CUSIP 55405W104 identifies MYRG - MYR GROUP INC. - Common Stock in SEC institutional holdings data.

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Top shareholders of MYRG - MYR GROUP INC. - Common Stock (13F + 13D/G + 3/4/5)

Grouped by holder across the latest SEC ownership disclosures. Ownership % is shown only when it is directly reported or safely comparable across share classes.

Methodology: rows are grouped by holder and ranked by the holder's primary source value. indicates unavailable or non-comparable values; "mixed-class rows" means the latest filing spans non-comparable classes.
Holder Source Role / Reporting Ownership % Shares Holdings Value 12M Net Δ As of Details
BlackRock Finance, Inc.
13F
Company
13%
2,065,797
$64,081,000 30 Jun 2017
13F
DIMENSIONAL FUND ADVISORS LP
13F
Company
9%
1,384,947
$42,961,000 30 Jun 2017
13F
VANGUARD GROUP INC
13F
Company
5.9%
910,518
$28,245,000 30 Jun 2017
13F
MACQUARIE GROUP LTD
13F
Company
4.9%
757,075
$23,484,000 30 Jun 2017
13F
JPMORGAN CHASE & CO
13F
Company
4.1%
629,836
$19,538,000 30 Jun 2017
13F
INVESTMENT COUNSELORS OF MARYLAND LLC
13F
Company
4%
613,566
$19,033,000 30 Jun 2017
13F
GCA INVESTMENT MANAGEMENT, LLC
13F
Company
3.2%
495,011
$15,355,000 30 Jun 2017
13F
STATE STREET CORP
13F
Company
2.7%
412,338
$12,790,000 30 Jun 2017
13F
CORBYN INVESTMENT MANAGEMENT INC/MD
13F
Company
2.1%
327,227
$10,151,000 30 Jun 2017
13F
THB ASSET MANAGEMENT
13F
Company
2%
304,260
$9,438,000 30 Jun 2017
13F
AJO, LP
13F
Company
1.6%
247,818
$7,687,000 30 Jun 2017
13F
AQR CAPITAL MANAGEMENT LLC
13F
Company
1.6%
247,687
$7,683,000 30 Jun 2017
13F
NORTHERN TRUST CORP
13F
Company
1.6%
241,299
$7,485,000 30 Jun 2017
13F
WADDELL & REED FINANCIAL INC
13F
Company
1.4%
221,000
$6,855,000 30 Jun 2017
13F
THRIVENT FINANCIAL FOR LUTHERANS
13F
Company
1.4%
219,930
$6,822,000 30 Jun 2017
13F
Polar Asset Management Partners Inc.
13F
Company
1.4%
213,709
$6,629,000 30 Jun 2017
13F
Phocas Financial Corp.
13F
Company
1.4%
209,103
$6,486,000 30 Jun 2017
13F
Bank of New York Mellon Corp
13F
Company
1.3%
200,360
$6,216,000 30 Jun 2017
13F
LOOMIS SAYLES & CO L P
13F
Company
1.2%
181,522
$5,631,000 30 Jun 2017
13F
TIAA CREF INVESTMENT MANAGEMENT LLC
13F
Company
1.1%
174,415
$5,410,000 30 Jun 2017
13F
RENAISSANCE TECHNOLOGIES LLC
13F
Company
1.1%
172,400
$5,348,000 30 Jun 2017
13F
AMERIPRISE FINANCIAL INC
13F
Company
1%
160,529
$4,980,000 30 Jun 2017
13F
GEODE CAPITAL MANAGEMENT, LLC
13F
Company
1%
158,520
$4,916,000 30 Jun 2017
13F
Invesco Ltd.
13F
Company
1%
154,815
$4,802,000 30 Jun 2017
13F
LSV ASSET MANAGEMENT
13F
Company
0.99%
152,427
$4,728,000 30 Jun 2017
13F
CHARLES SCHWAB INVESTMENT MANAGEMENT INC
13F
Company
0.93%
143,888
$4,464,000 30 Jun 2017
13F
Teton Advisors, Inc.
13F
Company
0.89%
137,674
$4,271,000 30 Jun 2017
13F
PRINCIPAL FINANCIAL GROUP INC
13F
Company
0.81%
125,993
$3,908,000 30 Jun 2017
13F
FIRST TRUST ADVISORS LP
13F
Company
0.71%
110,291
$3,421,000 30 Jun 2017
13F
PANAGORA ASSET MANAGEMENT INC
13F
Company
0.69%
106,995
$3,319,000 30 Jun 2017
13F
ACADIAN ASSET MANAGEMENT LLC
13F
Company
0.64%
99,375
$3,082,000 30 Jun 2017
13F
QS Investors, LLC
13F
Company
0.64%
98,625
$3,059,000 30 Jun 2017
13F
TEACHERS ADVISORS, LLC
13F
Company
0.61%
94,672
$2,937,000 30 Jun 2017
13F
Fisher Asset Management, LLC
13F
Company
0.61%
94,006
$2,916,000 30 Jun 2017
13F
THIRD AVENUE MANAGEMENT LLC
13F
Company
0.6%
93,400
$2,898,000 30 Jun 2017
13F
D. E. Shaw & Co., Inc.
13F
Company
0.55%
85,596
$2,655,000 30 Jun 2017
13F
JACOBS LEVY EQUITY MANAGEMENT, INC
13F
Company
0.55%
85,003
$2,637,000 30 Jun 2017
13F
MACKENZIE FINANCIAL CORP
13F
Company
0.52%
80,618
$2,501,000 30 Jun 2017
13F
GOLDMAN SACHS GROUP INC
13F
Company
0.48%
74,934
$2,325,000 30 Jun 2017
13F
WELLS FARGO & COMPANY/MN
13F
Company
0.46%
71,883
$2,230,000 30 Jun 2017
13F
Nationwide Fund Advisors
13F
Company
0.44%
68,287
$2,118,000 30 Jun 2017
13F
TWO SIGMA ADVISERS, LP
13F
Company
0.44%
68,209
$2,116,000 30 Jun 2017
13F
NORDEA INVESTMENT MANAGEMENT AB
13F
Company
0.41%
63,613
$1,973,000 30 Jun 2017
13F
PARAMETRIC PORTFOLIO ASSOCIATES LLC
13F
Company
0.39%
60,438
$1,875,000 30 Jun 2017
13F
MORGAN STANLEY
13F
Company
0.39%
59,814
$1,855,000 30 Jun 2017
13F
SYSTEMATIC FINANCIAL MANAGEMENT LP
13F
Company
0.38%
58,505
$1,815,000 30 Jun 2017
13F
MILLENNIUM MANAGEMENT LLC
13F
Company
0.37%
57,190
$1,774,000 30 Jun 2017
13F
MARTINGALE ASSET MANAGEMENT L P
13F
Company
0.37%
57,112
$1,772,000 30 Jun 2017
13F
BANK OF AMERICA CORP /DE/
13F
Company
0.36%
55,147
$1,711,000 30 Jun 2017
13F
GSA CAPITAL PARTNERS LLP
13F
Company
0.35%
54,758
$1,699,000 30 Jun 2017
13F

Institutional Holders of MYR GROUP INC. - Common Stock (MYRG) as of Q3 2017

As of 30 Sep 2017, MYR GROUP INC. - Common Stock (MYRG) was held by 140 institutional shareholders that filed Form 13F with the SEC. Together, they reported ownership of 14,134,121 shares. The largest 10 holders included BlackRock Inc., DIMENSIONAL FUND ADVISORS LP, VANGUARD GROUP INC, MACQUARIE GROUP LTD, INVESTMENT COUNSELORS OF MARYLAND LLC, JPMORGAN CHASE & CO, GCA INVESTMENT MANAGEMENT, LLC, STATE STREET CORP, CORBYN INVESTMENT MANAGEMENT INC/MD, and THOMSON HORSTMANN & BRYANT INC. This page lists 140 institutional shareholders reporting positions in this security for the Q3 2017 filing period.
Investor Option Weight % Change % Value $ * Price Shares Share Change Activity Report Period

Compare Q3 2017 vs Q2 2017 Across Filers

Q2 2017 holders
139
Q3 2017 holders
140
Holder diff
1
Investor Q2 2017 Shares Q3 2017 Shares Share Diff Share Chg % Q2 2017 Value $ Q3 2017 Value $ Value Diff $ Value Chg %

Trend: ostatnie 8 kwartałów (+ wybrane okresy porównania).

Quarterly Holders Trend
Quarterly Value Trend
Quarterly Shares Trend
* Reported Price is the price of the security as of the portfolio date. This value is significant in that it is the last known price at which the security was still held.
An asterisk sign (*) next to the price indicates that the price is likely invalid.