FolioFact
Sign in

Stock ownership

NAVIENT CORPORATION

Ticker
NAVI
CUSIP
63938C108
Held by
2 funds
Combined value
$8,621,859

+% bought more, −% sold down — each fund's last-quarter move (change in share count).

Fund Last quarter Value % of fund
Tudor Investment Corp position history −9% $4,429,216 0.02%
Arbiter Partners Capital Management position history +231% $4,192,643 2.84%