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Cloudera, Inc.

CLDRDelisted Oct 8, 2021
Industry
Services-Prepackaged Software
SEC CIK
0001535379

Cloudera, Inc. was delisted on Oct 8, 2021; its insiders filed their last Form 4 on Oct 18, 2021; 242 institutions reported holding it in 13F filings for Q3 2021, worth $3.85B in total; Icahn Capital was the only superinvestor holding it.

Key figures

Insider buys
0
Open market, last 90 days
Insider sells
0
Open market, last 90 days
13F holders
242
Q3 2021, −32 vs. previous quarter
13F value
$3.85B
Reported value at the end of Q3 2021
Superinvestors holding
1
At the end of Q3 2021

Superinvestors holding CLDR, Q3 2021

1 superinvestor reports holding Cloudera, Inc. on Form 13F. Percentages are the stock's share of each portfolio.

Go to the superinvestors tab

Icahn Capital

Carl Icahn

3.7%

Cloudera, Inc.'s share of the portfolio

Shares
52,327,391
Value
$835.7M

Latest insider trades

Open-market purchases and sales by Cloudera, Inc. insiders from Form 4, newest first.

See all insider trades
Insider trades
Filed (ET)Trade dateFiling delayInsiderTransactionSharesAvg priceValueHolding changeFlags
Sep 21, 2021 (view filing)Sep 174 daysHollison MickPresidentSSale−110.1K$15.94−$1.76M−61.7%68.3K after
Sep 16, 2021 (view filing)Sep 151 dayReasoner ScottChief Accounting OfficerSSale−14.3K$15.92−$228.0K−12.9%96.3K after
Sep 16, 2021 (view filing)Sep 142 daysFrankola JimChief Financial OfficerSSale−300.0K$15.93−$4.78M−23.0%1.00M after2 lots
Jul 9, 2021 (view filing)Jul 72 daysMurthy ArunChief Product OfficerSSale−79.9K$15.72−$1.26M−46.7%91.1K after

Top 10 13F holders, Q3 2021

The largest institutional positions in Cloudera, Inc. at the end of Q3 2021; share changes are against Q2 2021.

See all 242 holders
Institutions holding CLDR in Q3 2021
InstitutionSharesValue% of portfolioChange in sharesAction
Icahn Carl CSuperinvestorIcahn Capital52,327,391$835.7M3.71%00.0%Unchanged
Vanguard Group Inc22,303,733$356.2M0.01%+2,130,012+10.6%Added
BlackRock Inc.17,375,910$277.5M0.01%−509,616−2.8%Reduced
Glazer Capital, LLC11,220,408$179.2M3.17%+9,212,607+458.8%Added
Wellington Management Group LLP10,099,898$161.3M0.03%−247,263−2.4%Reduced
Omni Partners US LLC8,009,269$127.9M6.56%+6,476,281+422.5%Added
Millennium Management LLC6,996,455$111.7M0.15%+2,826,562+67.8%Added
Westchester Capital Management, LLC5,579,993$89.1M2.81%+3,958,258+244.1%Added
UBS Oconnor LLC5,205,933$83.1M0.72%+3,471,019+200.1%Added
State Street Corp4,896,140$78.2M0.00%+72,903+1.5%Added