WhaleCreep

Which hedge funds own ETRA? E TRADE FINANCIAL CORP, Q2 2026 13F holders

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0 tracked hedge funds disclosed a position in ETRA (E TRADE FINANCIAL CORP) in their Q2 2026 13F filings, worth $0 in total.

0
Holders
0
New this quarter
0
Exited this quarter
$0
Combined value
–
Share of managers holding

Holders, Q2 2026

0 rows

Held in a manager's last filing

1 rows
Select Equity Group IncQ3 2013Stopped filing1.6%

Ownership over time

By quarter
QuarterHoldersManagers filingShare holdingCombined value
Q4 20200710.0%$0
Q3 20204685.9%$162m
Q2 20205687.4%$194m
Q1 20206688.8%$118m
Q4 201986711.9%$122m
Q3 20195608.3%$116m
Q2 201966010.0%$217m
Q1 201986013.3%$335m
Q4 201876011.7%$134m
Q3 201865910.2%$151m
Q2 20184596.8%$73.7m
Q1 20182593.4%$41.9m
Q4 20175598.5%$162m
Q3 20174567.1%$134m
Q2 20174567.1%$137m
Q1 201775612.5%$257m
Q4 20165568.9%$180m
Q3 20162523.8%$59.0m
Q2 20161521.9%$276k
Q1 20163525.8%$16.4m
Q4 20155529.6%$68.0m
Q3 20155529.6%$28.1m
Q2 20154527.7%$66.4m
Q1 20153525.8%$56.7m
Q4 20143525.8%$82.7m
Q3 20143496.1%$34.7m
Q2 20143496.1%$48.3m
Q1 20142474.3%$30.3m
Q4 20133476.4%$59.0m
Q3 201354511.1%$199m
Q2 201354311.6%$214m
Q1 20131392.6%$139m
Q1 20120370.0%$0
Q4 20111372.7%$181k
Q3 20111333.0%$481k
Q2 20111333.0%$1.7m

Who discovered ETRA first?

Earliest meaningful positions among the 17 tracked managers seen opening ETRA since Q2 2011.

8 rows
Select Equity Group IncQ1 20131.9%1.9%3Held at last filing, Q3 2013+54%
Kingstown Capital Management L.P. high convictionQ2 20136.8%6.8%3Exited by Q1 2014+55%
Discovery Capital Management, LLCQ4 20140.4%3.5%6Exited by Q1 2018+104%
Junto Capital Management LP high convictionQ4 20164.4%5.3%9Exited by Q1 2020+31%
Corvex Management LPQ4 20160.5%1.8%2Exited by Q2 2017+0.7%
Melqart Asset Management (UK) Ltd high convictionQ1 20204.1%7.2%3Exited by Q4 2020+46%
Tudor Investment Corp ET ALQ2 20110.09%4.1%24Exited by Q3 2020–
Pentwater Capital Management LPQ1 20200.9%1.3%3Exited by Q4 2020+46%

Stock since is the split-adjusted change in the quarter-end price, excluding dividends, from the first reported quarter: the price the 13F filings themselves imply (value ÷ shares), blank across any gap that cannot be accounted for. It describes the stock, not the return any manager earned.

2 already held it when coverage began

Renaissance Technologies LLC (Q2 2013), Lansdowne Partners (UK) LLP (Q2 2014)