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Ancora Advisors

Ancora Advisors is a fund manager in Mayfield Heights with $6.16B assets under management.

Company profile

Website
Employees
Incorporated
Location
Fiscal year end
Industry
SEC CIK
IRS number
331033773
SEC advisor number
801-61770
FINRA CRD number
124674
AUM ?
$6.16B (as of 31 Mar 21)
Accounts
328 (as of 31 Mar 21)
Employees
67 (45 investment advisory or research)
Address
Ancora Advisors
6060 PARKLAND BOULEVARD, SUITE 200
CLEVELAND
OH 44124
Phone
2168254000
Fund structure AUM Fund type
Ancora Advisors LLC $6.16B
Ancora Catalyst SPV I SPC LTD Seg Portfolio E $50.27M Hedge Fund
Ancora Catalyst SPV I SPC LTD Seg Portfolio F $13.69M Hedge Fund
Ancora Catalyst SPV I, LP - Series I $15.4M Hedge Fund
Ancora Catalyst SPV I, LP - Series J $19.84M Hedge Fund
Ancora Catalyst SPV I, LP - Series K $21.03M Hedge Fund
Ancora Catalyst SPV I, LP - Series L $9.5M Hedge Fund
Ancora Catalyst SPV I, LP - Series M $17.52M Hedge Fund
Ancora Catalyst SPV I, LP - Series N $15.85M Hedge Fund
Ancora Catalyst SPV I, LP - Series O $15.53M Hedge Fund
Ancora Catalyst SPV I, LP - Series P $5.63M Hedge Fund
Ancora Cataylst Institutional, LP $191.66M Hedge Fund Master
Ancora Catalyst Institutional LTD Feeder
Ancora Cataylst, LP $14.94M Hedge Fund
Ancora Commodity Fund LP $8.08M Hedge Fund
Ancora Merlin Institutional, LP $240.97M Hedge Fund Master
Ancora Merlin Institutional LTD Feeder
Ancora Merlin LP $20.55M Hedge Fund

Investment data

Data from SEC filings
Regulatory AUM / Assets Under Management
Number of accounts
Number of employees
Top 50 of 1751 long holdings
End of quarter 30 Jun 21
Value
 
#Shares
 
$231.65M 925.91K
$192.53M 3.49M
$165.61M 1.85M
$125.52M 905.54K
$86.36M 630.55K
$80.59M 1.23M
$63.6M 234.78K
$61.12M 401.16K
J P Morgan Exch/ultra Short Mu
$55.45M 1.09M
JP Morgan Chase & Co
$45.01M 289.36K
$42.54M 258.19K
Berry Plastics Group
$38.49M 590.23K
$37.89M 172.73K
$37.81M 917.02K
$37.4M 212.75K
$34.22M 107.31K
$32.64M 81.51K
Broadcom LTD SHS
$32.28M 67.69K
$31.78M 303.43K
Abbvie Inc
$30.94M 274.72K
$30.42M 364.53K
Vanguard Intl Equity Index F
$30.3M 482.98K
$29.45M 120.82K
Nestle S a Sponsored Adr
$28.82M 231.22K
$28.34M 1.64M
$28.17M 11.35K
$28.13M 130.15K
Eaton Corp PLC
$27.89M 188.24K
Invesco Buyback Achievers Etf
$27.75M 180.51K
$27.32M 595.61K
Onespan Inc
$26.92M 1.05M
$25.77M 166.8K
$25.47M 188.76K
$24.75M 89.04K
$24.49M 728.5K
Accenture PLC
$24.26M 82.29K
$23.77M 27.17K
$23.17M 636.86K
Cisco Sys Inc
$23.08M 435.53K
$22.23M 271.75K
Vanguard Specialized Funds
$22.03M 142.32K
$21.52M 93.16K
Natixis
$21.25M 4.48M
$20.95M 177.08K
$20.72M 6.02K
$20.64M 107.32K
$20.23M 1.58M
$19.67M 68.38K
Wyndham Hotels & Resorts Inc
$19.58M 270.8K
Ishares Core 1 to 5 Year Usd B
$19.56M 258.86K
Holdings list only includes long positions. Only includes long positions.

Calendar

25 Sep 21
31 Dec 21
Date Owner Security Transaction Code Indirect 10b5-1 $Price #Shares $Value #Remaining
14 Apr 20 Ancora Advisors Common Stock $0.01 par value Acquire X Yes No 17.5 58,900 1.03M 512,040
14 Apr 20 Ancora Advisors Common Stock $0.01 par value Acquire X Yes No 17.5 62,300 1.09M 612,056
14 Apr 20 Ancora Advisors Common Stock $0.01 par value Acquire X Yes No 17.5 4,900 85.75K 59,368
14 Apr 20 Ancora Advisors Common Stock $0.01 par value Acquire X Yes No 17.5 68,100 1.19M 784,711
14 Apr 20 Ancora Advisors Common Stock $0.01 par value Acquire X Yes No 17.5 8,400 147K 90,054
14 Apr 20 Ancora Advisors Common Stock $0.01 par value Acquire X Yes No 17.5 84,900 1.49M 863,814
14 Apr 20 Ancora Advisors Call Options Common Stock $0.01 par value Dispose X Yes No 17.5 589 10.31K 0
14 Apr 20 Ancora Advisors Call Options Common Stock $0.01 par value Dispose X Yes No 17.5 623 10.9K 0
14 Apr 20 Ancora Advisors Call Options Common Stock $0.01 par value Dispose X Yes No 17.5 49 857.5 0
14 Apr 20 Ancora Advisors Call Options Common Stock $0.01 par value Dispose X Yes No 17.5 681 11.92K 0

Financial reports

No filings

Current reports

No filings

Registration and prospectus

No filings

Other

No filings