Mountain Province Diamonds Inc

 MPVD

Equity and Debt

 MPVD

 
Type Mil USD
Equity 280.2
Debt 383.6
 

Equity Owners

 MPVD

 
Type Mil USD
Institutions
Mutual Funds
Insiders
 

Owner Activity

 MPVD

Institutions Funds
Name Ownership Trend
Previous 8 Qtrs
Current % Chg from
Prev Qtr
Ownership Trend
Previous 8 Qtrs
Current % Chg from
Prev Qtr
Total Owners Premium 59 5.36 Premium 87 4.82
New Owners Premium 4 -20.00 Premium 2 100.00
Sold Out Premium 8 -20.00 Premium 3 -40.00
# of Owners Buying Premium 15 15.38 Premium 25 47.06
# of Owners Selling Premium 15 0.00 Premium 23 9.52
Total Shares Owned (Mil) Premium 115 85.59 Premium 49 -1.70
Total Shares Bought (Mil) Premium 17 1884.61 Premium 0 5.31
Total Shares Sold (Mil) Premium 2 14.74 Premium 1 87.72
Net Share Change (Mil) Premium 15 -1691.30 Premium -1 113.83

Fund Owners' Style

 MPVD

2 43 15 Lg
4 5 12 Md
-- 1 5 Sm
Value Blend Growth
 Buying Trend
 Selling Trend
 
Style # of Funds Shares Buy Sell Net % Chg
Large Value 2 216,604 -- 3,940 --
Large Blend 43 13,926,691 62,501 390,658 -2.3
Large Growth 15 7,635,444 35,449 22,773 0.17
Mid Value 4 3,130,147 -- 30,553 --
Mid Blend 5 314,501 -- 7,487 --
Mid Growth 12 18,826,118 49,000 178,005 -0.68
Small Value -- -- -- -- --
Small Blend 1 144,238 -- 319,552 --
Small Growth 5 5,028,350 -- 136,031 --
Total 87 49,222,093 146,950 1,088,999 -1.88
Data displayed as of  10/31/2017

Equity Ownership

 MPVD

Name Ownership Trend
Previous 8 Qtrs
Shares Change % Total
Shares Held
% Total
Assets
Date
VA CollegeAmerica Smcap World 529E Premium 4,964,264 0 3.11 0.05 09/30/2017
Vanguard Precious Metals and Mining Inv Premium 4,935,352 0 3.09 0.6 09/30/2017
Fidelity® Nasdaq Composite Index® Premium 73,559 0 0.05 0.01 09/30/2017
Principal Diversified Real Asset A Premium 36,100 -700 0.02 0 10/31/2017
Prinicpal Diversified Real Asset CIT Tier 2 Premium 13,500 -400 0.01 0 10/31/2017
Comerica Foreign Equity CIT - Class A Premium 8,173 0 0.01 0 09/30/2017
iShares Commodities Select Strategy Premium 8,801 0 0.01 0.01 11/17/2017
Total: Top 7 funds Premium 10,039,749 -1,100 6.3