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PPD, Inc.

PPDDelisted Dec 8, 2021
Industry
Services-Commercial Physical & Biological Research
SEC CIK
0001793294

PPD, Inc. was delisted on Dec 8, 2021; its insiders filed their last Form 4 on Dec 9, 2021; 243 institutions reported holding it in 13F filings for Q3 2021, worth $15.3B in total; superinvestors Soros Fund Management and Fairfax Financial held it.

Key figures

Insider buys
0
Open market, last 90 days
Insider sells
0
Open market, last 90 days
13F holders
243
Q3 2021, −3 vs. previous quarter
13F value
$15.3B
Reported value at the end of Q3 2021
Superinvestors holding
2
At the end of Q3 2021

Superinvestors holding PPD, Q3 2021

2 superinvestors report holding PPD, Inc. on Form 13F. Percentages are the stock's share of each portfolio.

Go to the superinvestors tab

Soros Fund Management

George Soros

2.6%

PPD, Inc.'s share of the portfolio

Shares
2,800,259
Value
$131.0M

Fairfax Financial

Prem Watsa

<0.1%

PPD, Inc.'s share of the portfolio

Shares
16,500
Value
$772.0K

Latest insider trades

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

See all insider trades
Insider trades
Filed (ET)Trade dateFiling delayInsiderTransactionSharesAvg priceValueHolding changeFlags
Dec 8, 2021 (view filing)5:05 PM ETDec 8Same dayHellman & Friedman Capital Partners VIII (Parallel), L.P. and 6 others10% OwnerSSale−132.8M$47.50−$6.31B−100.0%0 after9 lotsDuplicate filing
Dec 8, 2021 (view filing)4:53 PM ETDec 8Same dayThorpe Allen R and 6 othersDirectorSSale−132.8M$47.50−$6.31B−100.0%0 after9 lots

Top 10 13F holders, Q3 2021

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

See all 243 holders
Institutions holding PPD in Q3 2021
InstitutionSharesValue% of portfolioChange in sharesAction
H&F Corporate Investors VII, Ltd.77,118,535$3.61B100.00%00.0%Unchanged
Carlyle Group Inc.55,722,733$2.61B20.63%00.0%Unchanged
H&F Corporate Investors VIII, Ltd.55,722,731$2.61B54.95%00.0%Unchanged
UBS Oconnor LLC15,865,110$742.3M6.44%+1,594,062+11.2%Added
Vanguard Group Inc11,982,265$560.7M0.01%+1,314,048+12.3%Added
Pentwater Capital Management LP10,640,000$497.8M6.84%−1,580,000−12.9%Reduced
BlackRock Inc.8,733,668$408.6M0.01%+436,367+5.3%Added
Goldman Sachs Group Inc5,925,113$277.2M0.07%+1,006,901+20.5%Added
FIL Ltd5,046,700$236.1M0.26%+1,041,200+26.0%Added
Millennium Management LLC4,411,394$206.4M0.27%−552,037−11.1%Reduced