INVESCO LTD.
Schedule 13D and 13G filings submitted since 09/30/2011
| Subject Company | Symbol | Date of Filing | Total Reported Shares Owned |
Shares Reported on 13F |
Change | |
|---|---|---|---|---|---|---|
| SC 13G/A | PowerShares 1-30 Laddered Treasury | PLW | 10/07/2011 | 6,758,263 | 6,758,263 |
Decreased position by
0
|
| SC 13G | Citi Trends | CTRN | 10/07/2011 | 1,541,111 | 1,541,111 |
Decreased position by
0
|
| SC 13G | NCI, Inc. | NCIT | 10/07/2011 | 856,779 | 856,779 |
Decreased position by
0
|
| SC 13G/A | Calgon Carbon Corporation | CCC | 10/07/2011 | 2,522,659 | 2,522,659 |
Decreased position by
0
|
| SC 13G | AMN Healthcare Services Inc. | AHS | 11/10/2011 | 4,083,476 | 3,786,546 |
Increased position by
296,930
|
| SC 13G/A | Liz Claiborne Inc. | LIZ | 11/10/2011 | 7,302,208 | 12,171,158 |
Decreased position by
-4,868,950
|
| SC 13G | Instituform Technologies Inc | INSU | 12/12/2011 | 4,042,807 | 0 |
New Position
|
| SC 13G/A | Aegion Corp | AEGN | 12/12/2011 | 0 | 3,740,900 |
Decreased position by
-3,740,900
|
| SC 13G/A | PowerShares DB Gold | DGL | 12/12/2011 | 4,253,694 | 3,433,923 |
Increased position by
819,771
|
| SC 13G/A | PowerShares FTSE RAFI Dev Mkts ex-US | PXF | 12/12/2011 | 1,533,980 | 1,080,488 |
Increased position by
453,492
|
| SC 13G/A | AAR Corp. | AIR | 02/06/2012 | 2,662,569 | 2,556,770 |
Increased position by
105,799
|
| SC 13G/A | Acadia Realty Trust | AKR | 02/06/2012 | 4,229,270 | 4,386,846 |
Decreased position by
-157,576
|
| SC 13G/A | ACCO Brands Corporation | ABD | 02/06/2012 | 5,968,241 | 5,906,898 |
Increased position by
61,343
|
| SC 13G/A | ADVANCED ANALOGIC TECHNOLOGIES, | AATI | 02/06/2012 | 3,307,900 | 3,351,182 |
Decreased position by
-43,282
|
| SC 13G/A | AFC Enterprises Inc. | AFCE | 02/06/2012 | 492,188 | 112,847 |
Increased position by
379,341
|
| SC 13G/A | Aegion Corp | AEGN | 02/06/2012 | 3,890,989 | 3,740,900 |
Increased position by
150,089
|
| SC 13G/A | Advanced Energy Industries, Inc. | AEIS | 02/06/2012 | 166,845 | 184,683 |
Decreased position by
-17,838
|
| SC 13G/A | Alliance Data Systems Corporation | ADS | 02/06/2012 | 1,645,122 | 1,601,182 |
Increased position by
43,940
|
| SC 13G/A | Ameron International Corporation | AMN | 02/06/2012 | 0 | 5,755 |
Decreased position by
-5,755
|
| SC 13G/A | AMN Healthcare Services Inc. | AHS | 02/06/2012 | 4,270,382 | 3,786,546 |
Increased position by
483,836
|
| SC 13G/A | Badger Meter Inc. | BMI | 02/06/2012 | 1,008,657 | 921,174 |
Increased position by
87,483
|
| SC 13G/A | Avery Dennison Corporation | AVY | 02/06/2012 | 760,348 | 5,314,022 |
Decreased position by
-4,553,674
|
| SC 13G/A | Belden, Inc. | BDC | 02/06/2012 | 2,715,278 | 2,939,496 |
Decreased position by
-224,218
|
| SC 13G/A | Boston Scientific Corporation | BSX | 02/06/2012 | 19,641,824 | 33,311,669 |
Decreased position by
-13,669,845
|
| SC 13G/A | Brinker International Inc. | EAT | 02/06/2012 | 1,907,756 | 2,027,312 |
Decreased position by
-119,556
|
| SC 13G/A | Brightpoint Inc. | CELL | 02/06/2012 | 10,344,362 | 9,800,728 |
Increased position by
543,634
|
| SC 13G/A | Camden Property Trust | CPT | 02/06/2012 | 4,493,683 | 4,934,709 |
Decreased position by
-441,026
|
| SC 13G/A | Checkpoint Systems Inc. | CKP | 02/06/2012 | 2,025,755 | 1,213,145 |
Increased position by
812,610
|
| SC 13G/A | Central Garden & Pet Co. | CENT | 02/06/2012 | 18,019 | 17,010 |
Increased position by
1,009
|
| SC 13G/A | CBL & Associates Properties Inc. | CBL | 02/06/2012 | 8,135,615 | 6,715,571 |
Increased position by
1,420,044
|
| SC 13G/A | Consolidated Water Co. Ltd. | CWCO | 02/06/2012 | 2,324,621 | 2,322,426 |
Increased position by
2,195
|
| SC 13G/A | Citi Trends | CTRN | 02/06/2012 | 1,528,020 | 1,541,111 |
Decreased position by
-13,091
|
| SC 13G/A | Culp Inc. | CFI | 02/06/2012 | 1,657,751 | 1,657,751 |
Decreased position by
0
|
| SC 13G/A | DCT Industrial Trust Inc. | DCT | 02/06/2012 | 14,768,825 | 10,118,013 |
Increased position by
4,650,812
|
| SC 13G/A | Liz Claiborne Inc. | LIZ | 02/06/2012 | 5,328,393 | 12,171,158 |
Decreased position by
-6,842,765
|
| SC 13G/A | PowerShares FTSE RAFI Emerging Markets | PXH | 02/06/2012 | 4,683,124 | 4,142,719 |
Increased position by
540,405
|
| SC 13G/A | Gorman-Rupp Co. | GRC | 02/07/2012 | 970,227 | 1,095,693 |
Decreased position by
-125,466
|
| SC 13G/A | HEALTH CARE REIT | HCN | 02/07/2012 | 9,974,516 | 10,719,164 |
Decreased position by
-744,648
|
| SC 13G/A | HEALTHSOUTH Corp. | HLS | 02/07/2012 | 4,780,117 | 2,693,815 |
Increased position by
2,086,302
|
| SC 13G/A | Highwoods Properties Inc. | HIW | 02/07/2012 | 5,625,125 | 5,927,377 |
Decreased position by
-302,252
|
| SC 13G/A | Home Properties Inc. | HME | 02/07/2012 | 1,581,404 | 1,744,725 |
Decreased position by
-163,321
|
| SC 13G/A | International Rectifier Corporation | IRF | 02/07/2012 | 6,355,019 | 5,821,639 |
Increased position by
533,380
|
| SC 13G/A | International Paper Co. | IP | 02/07/2012 | 23,446,670 | 22,747,854 |
Increased position by
698,816
|
| SC 13G/A | Marsh & McLennan Companies, Inc. | MMC | 02/07/2012 | 22,881,119 | 25,631,715 |
Decreased position by
-2,750,596
|
| SC 13G/A | Liberty Property Trust | LRY | 02/07/2012 | 5,084,532 | 5,460,336 |
Decreased position by
-375,804
|
| SC 13G/A | NESS TECHNOLOGIES, INC | NSTC | 02/07/2012 | 0 | 30,787 |
Decreased position by
-30,787
|
| SC 13G/A | Omega Healthcare Investors Inc. | OHI | 02/07/2012 | 4,228,427 | 4,561,102 |
Decreased position by
-332,675
|
| SC 13G/A | James River Coal Co. | JRCC | 02/07/2012 | 2,364,741 | 1,123,758 |
Increased position by
1,240,983
|
| SC 13G/A | Digital Realty Trust Inc. | DLR | 02/07/2012 | 6,673,596 | 7,167,267 |
Decreased position by
-493,671
|
| SC 13G/A | DSW Inc. | DSW | 02/08/2012 | 946,312 | 895,724 |
Increased position by
50,588
|
| SC 13G/A | Kilroy Realty Corp. | KRC | 02/08/2012 | 4,472,094 | 5,158,294 |
Decreased position by
-686,200
|
| SC 13G/A | Denny's Corporation | DENN | 02/08/2012 | 4,168,598 | 5,338,489 |
Decreased position by
-1,169,891
|
| SC 13G/A | Layne Christensen Co. | LAYN | 02/08/2012 | 1,164,534 | 1,307,841 |
Decreased position by
-143,307
|
| SC 13G/A | Legg Mason Inc. | LM | 02/08/2012 | 8,621,130 | 9,822,985 |
Decreased position by
-1,201,855
|
| SC 13G/A | Lindsay Corporation | LNN | 02/08/2012 | 1,132,050 | 1,041,399 |
Increased position by
90,651
|
| SC 13G/A | MACERICH CO | MAC | 02/08/2012 | 9,143,256 | 10,404,813 |
Decreased position by
-1,261,557
|
| SC 13G/A | Maidenform Brands, Inc. | MFB | 02/08/2012 | 2,071,075 | 2,052,121 |
Increased position by
18,954
|
| SC 13G/A | Methode Electronics Inc. | MEI | 02/08/2012 | 2,745,484 | 2,721,643 |
Increased position by
23,841
|
| SC 13G/A | Microsemi Corp. | MSCC | 02/08/2012 | 5,863,899 | 5,662,555 |
Increased position by
201,344
|
| SC 13G/A | Mid-America Apartment Communities Inc. | MAA | 02/08/2012 | 3,095,334 | 3,240,139 |
Decreased position by
-144,805
|
| SC 13G/A | Mueller Water Products, Inc. | MWA | 02/08/2012 | 14,140,967 | 11,570,030 |
Increased position by
2,570,937
|
| SC 13G/A | National Retail Properties, Inc. | NNN | 02/08/2012 | 7,607,166 | 7,123,413 |
Increased position by
483,753
|
| SC 13G/A | NCI, Inc. | NCIT | 02/08/2012 | 1,223,864 | 856,779 |
Increased position by
367,085
|
| SC 13G/A | Northwest Pipe Co. | NWPX | 02/08/2012 | 853,989 | 854,997 |
Decreased position by
-1,008
|
| SC 13G/A | NetScout Systems Inc. | NTCT | 02/08/2012 | 5,990,559 | 6,086,698 |
Decreased position by
-96,139
|
| SC 13G/A | Orion Marine Group, Inc | ORN | 02/08/2012 | 3,252,472 | 3,173,551 |
Increased position by
78,921
|
| SC 13G/A | PowerShares DB Gold | DGL | 02/08/2012 | 4,636,033 | 3,433,923 |
Increased position by
1,202,110
|
| SC 13G/A | PNI Digital Media Inc. | PNDMF.OB | 02/08/2012 | 4,776,000 | 0 |
New Position
|
| SC 13G/A | P.F. Chang's China Bistro, Inc. | PFCB | 02/08/2012 | 383,046 | 390,318 |
Decreased position by
-7,272
|
| SC 13G/A | PowerShares 1-30 Laddered Treasury | PLW | 02/08/2012 | 2,667,757 | 6,758,263 |
Decreased position by
-4,090,506
|
| SC 13G/A | PowerShares Dynamic Financials | PFI | 02/08/2012 | 34,487 | 87,647 |
Decreased position by
-53,160
|
| SC 13G/A | PowerShares Dynamic Consumer Disc | PEZ | 02/08/2012 | 56,788 | 61,193 |
Decreased position by
-4,405
|
| SC 13G/A | PowerShares FTSE RAFI Dev Mkts ex-US | PXF | 02/08/2012 | 1,448,527 | 1,080,488 |
Increased position by
368,039
|
| SC 13G/A | PowerShares FTSE RAFI US 1000 | PRF | 02/08/2012 | 1,690,062 | 1,286,092 |
Increased position by
403,970
|
| SC 13G/A | Camden Property Trust | CPT | 02/09/2012 | 3,559,866 | 4,934,709 |
Decreased position by
-1,374,843
|
| SC 13G/A | PowerShares FTSE RAFI Emerging Markets | PXH | 02/09/2012 | 4,758,285 | 4,142,719 |
Increased position by
615,566
|
| SC 13G/A | Liz Claiborne Inc. | LIZ | 02/09/2012 | 4,059,612 | 12,171,158 |
Decreased position by
-8,111,546
|
| SC 13G/A | Consolidated Water Co. Ltd. | CWCO | 02/09/2012 | 1,328,983 | 2,322,426 |
Decreased position by
-993,443
|
| SC 13G/A | Quanta Services, Inc. | PWR | 02/09/2012 | 4,726,821 | 5,354,377 |
Decreased position by
-627,556
|
| SC 13G/A | ProLogis | PLD | 02/09/2012 | 0 | 28,126,993 |
Decreased position by
-28,126,993
|
| SC 13G/A | Ryland Group Inc. | RYL | 02/09/2012 | 5,020,071 | 3,447,707 |
Increased position by
1,572,364
|
| SC 13G | Ryland Group Inc. | RYL | 02/09/2012 | 3,476,618 | 3,447,707 |
Increased position by
28,911
|
| SC 13G/A | PowerShares Global Agriculture | PAGG | 02/10/2012 | 635,120 | 671,494 |
Decreased position by
-36,374
|
| SC 13G/A | PowerShares Intl Dividend Achievers | PID | 02/10/2012 | 5,079,470 | 5,011,393 |
Increased position by
68,077
|
| SC 13G/A | PowerShares Global Gold & Prec Metals | PSAU | 02/10/2012 | 176,764 | 173,982 |
Increased position by
2,782
|
| SC 13G/A | Regency Centers Corporation | REG | 02/10/2012 | 6,221,746 | 6,829,199 |
Decreased position by
-607,453
|
| SC 13G/A | Retail Opportunity Investments Corp. | ROIC | 02/10/2012 | 4,732,816 | 4,548,434 |
Increased position by
184,382
|
| SC 13G/A | Senior Housing Properties Trust | SNH | 02/10/2012 | 8,675,719 | 9,193,421 |
Decreased position by
-517,702
|
| SC 13G/A | Reynolds American Inc. | RAI | 02/10/2012 | 58,553,428 | 65,393,976 |
Decreased position by
-6,840,548
|
| SC 13G/A | Stage Stores Inc. | SSI | 02/10/2012 | 56,833 | 66,678 |
Decreased position by
-9,845
|
| SC 13G/A | Sovran Self Storage Inc. | SSS | 02/10/2012 | 2,350,515 | 2,606,887 |
Decreased position by
-256,372
|
| SC 13G/A | Sonic Corp. | SONC | 02/10/2012 | 4,676,879 | 4,811,442 |
Decreased position by
-134,563
|
| SC 13G/A | Snap-on Inc. | SNA | 02/10/2012 | 2,178,224 | 2,473,784 |
Decreased position by
-295,560
|
| SC 13G/A | Viacom Inc 6.85% Pfd | VIAB | 02/10/2012 | 18,750,155 | 19,204,063 |
Decreased position by
-453,908
|
| SC 13G/A | Titan International Inc. | TWI | 02/10/2012 | 958,536 | 977,511 |
Decreased position by
-18,975
|
| SC 13G/A | THQ Inc. | THQI | 02/10/2012 | 7,150,760 | 7,165,455 |
Decreased position by
-14,695
|
| SC 13G/A | Tetra Tech Inc. | TTEK | 02/10/2012 | 3,596,670 | 4,096,097 |
Decreased position by
-499,427
|
| SC 13G/A | Synaptics Inc. | SYNA | 02/10/2012 | 3,451,442 | 3,387,629 |
Increased position by
63,813
|
| SC 13G/A | Willis Group Holdings Public Limited Company | WSH | 02/10/2012 | 1,784,817 | 3,040,385 |
Decreased position by
-1,255,568
|
| SC 13G/A | Washington Real Estate Investment Trust | WRE | 02/10/2012 | 2,747,392 | 3,267,759 |
Decreased position by
-520,367
|
| SC 13G/A | Smart Technologies Inc. | SMT | 02/10/2012 | 1,909,446 | 5,543,624 |
Decreased position by
-3,634,178
|
| SC 13G/A | SWIFT TRANSPORTATION COMPANY CLASS A COMMON STOCK | SWFT | 02/10/2012 | 4,294,680 | 1,713,569 |
Increased position by
2,581,111
|
