Home
Institutions
Filings
Issuers
About
All
Index / Passive
Hedge Fund
VC / PE / Holdco
Long-Term Concentrated
Concentrated Active
Quant / Systematic
Diversified Active
AVON PRODS INC
CUSIP: 054303102
Class: COM
CAPITAL FUND MANAGEMENT S.A.'s Holding History (CIK: 0001323645)
Note: Option positions (PUT/CALL) are excluded.
Q2 2014
Shares
282,214
Value ($000)
$4,123
Avg Close
—
Range
—
Q1 2014
Shares
343,806
Value ($000)
$5,033
Avg Close
—
Range
—
Q4 2013
Shares
148,070
Value ($000)
$2,550
Avg Close
—
Range
—
Q3 2013
Shares
54,096
Value ($000)
$1,114
Avg Close
—
Range
—
Period
Shares
Value ($000)
Average Close
Price Range
Q2 2014
282,214
$4,123
—
—
Q1 2014
343,806
$5,033
—
—
Q4 2013
148,070
$2,550
—
—
Q3 2013
54,096
$1,114
—
—