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Banco De Chile (BCH)

Page Created: 2008-11-21 08:35:00-08Last Activity: 2008-11-19Industry: Commer Banks Non-UsCountry: Chile

Banco De Chile (BCH)
Contact Information

Ahumada 251, Santiago,,, Chile
Phone: 56 2 637 1111, Fax: 56 2 637 3434, Website: http://www.bancochile.cl

Banco De Chile (BCH)
ISIN International Securities Identification Number

ISIN(s): CL0000002346

Banco De Chile (BCH)
CUSIP Committee on Uniform Securities Identification Procedures

CUSIP(s): 059520106

Banco De Chile (BCH)
Stock Symbols and Exchanges

Exchange Symbol Reuters Bloomberg Exchange Name MICR ACCR City Country Website
00000234 00000234.MC 00000234:SM Mercado Alternativo Bursatil MABX MAB Madrid Spain www.bolsasymercados.es
BCH BCH BCH:US New York Stock Exchange XNYS NYSE New York United States www.nyse.com

Banco De Chile (BCH)
Rankings

 
Number of funds
Global RankCountry RankIndustry Rank
Owned:
29
4601470
Score:
0.03
3482--
Brand New:
9
3403443
Increased Existing:
2
5216--
No Change:
4
4931--
Reduced Existing:
7
3801--
Liquidated:
6
4289468
No Comparison Available:
1
---
Funds buying shares:
11
4198457
Buying %:
39.28 %
49486108
Funds not buying/selling shares:
4
---
Neutral %:
14.28 %
---
Funds selling shares:
13
4063455
Selling %:
46.42 %
5054489
   

Banco De Chile (BCH)
Owners Details

Click on column headings to sort!
Fund Fund Type Fund Perf. Report Date Current Shares Current Value Value Chng. Return Activity Shares Chng. Shares Chg.% Results
Goldman Sachs Group Inc Institution -13.12 % 2008-11-19 20,835 $588,172 $-32,919 -5.30 % Sold Some -12,137 -36.81 % $19,176
Metlife Securities Inc Institution -82.79 % 2008-11-18 25 $706 $-40 -5.30 % New Holding 25 100.00 % $-40
Millennium Management Llc Institution -12.37 % 2008-11-17 None - - - % Sold All -5,310 -100.00 % $16,780
Bnp Paribas Asset Management S A S Institution -14.26 % 2008-11-14 6,283 $177,369 $-19,854 -10.06 % No Change 0 0 % -
Rbc Dain Rauscher Inc Institution -12.91 % 2008-11-14 None - - - % Sold All -88 -100.00 % $278
Rafferty Asset Management Llc Institution -14.19 % 2008-11-14 None - - - % Sold All -5,110 -100.00 % $16,148
Lord Abbett And Co Llc Institution -15.37 % 2008-11-14 52,600 $1,484,898 $-166,216 -10.06 % Added More 12,600 31.50 % $-39,816
Grantham Mayo Van Otterloo And Co Llc Institution -11.07 % 2008-11-14 18,753 $529,397 $-59,259 -10.06 % Sold Some -51,825 -73.42 % $163,767
Axa Institution -14.62 % 2008-11-14 76,300 $2,153,949 $-241,108 -10.06 % Sold Some -13,076 -14.63 % $41,320
Renaissance Technologies Corp Institution -13.73 % 2008-11-14 94,101 $2,656,471 $-297,359 -10.06 % Added More 7,230 8.32 % $-22,847
Hartford Investment Management Co Institution -14.32 % 2008-11-14 1,165 $32,888 $-3,681 -10.06 % Sold Some -1,120 -49.01 % $3,539
Fmr Corp Institution -15.22 % 2008-11-14 173,704 $4,903,664 $-548,905 -10.06 % New Holding 173,704 100.00 % $-548,905
World Asset Management Inc Institution -11.52 % 2008-11-13 18,602 $525,134 $-27,159 -4.91 % No Change 0 0 % -
Fixed Income Securities Inc Institution -13.21 % 2008-11-13 26,386 $744,877 $-38,524 -4.91 % Sold Some -1,878 -6.64 % $2,742
Credit Suisse Institution -12.66 % 2008-11-13 10,490 $296,133 $-15,315 -4.91 % Sold Some -2,124 -16.83 % $3,101
Merrill Lynch And Co Inc Institution -9.60 % 2008-11-13 338 $9,542 $-493 -4.91 % New Holding 338 100.00 % $-493
Nomura Asset Management Co Ltd Institution % 2008-11-12 100 % New Holding 100 100.00 %
Barclays Global Investors Uk Holdings Ltd Institution % 2008-11-12 338,001 % Sold Some -32,588 -8.79 %
Rbc Private Counsel Usa Inc Institution % 2008-11-12 None - - - % Sold All -403 -100.00 %
Comerica Bank Institution % 2008-11-12 11,460 % No Change 0 0 % -
Legal And General Group Plc Institution % 2008-11-12 8,406 % No Change 0 0 % -
Claymore Advisors Llc Institution % 2008-11-10 5,026 % New Holding 5,026 100.00 %
Claymorezacks International Yield Hog Etf (Claymore Exchange-Traded Fund Trust 2) Global Flex Port -20.69 % 2008-11-07 1,420 $40,087 $-5,069 -11.22 % New Holding 1,420 100.00 % $-5,069
Latin America Bull 2x Fund (Direxion Funds) Latin American -33.18 % 2008-11-07 5,110 $144,255 $-18,243 -11.22 % No Compare - - % -
Gmo Value Fund (Gmo Trust) Multi-Cap Value -22.65 % 2008-11-04 None - - - % Sold All -43,235 -100.00 % $335,936
Gmo Emerging Countries Fund (Gmo Trust) Emerging Markets -36.04 % 2008-11-04 None - - - % Sold All -9,802 -100.00 % $76,162
Dimensional Fund Advisors Inc Institution -24.22 % 2008-10-30 87,152 $2,460,301 $-393,056 -13.77 % New Holding 87,152 100.00 % $-393,056
Parametric Portfolio Associates Institution -18.59 % 2008-10-28 37,109 $1,047,587 $45,644 4.55 % New Holding 37,109 100.00 % $45,644
Oxford Asset Management Institution -19.94 % 2008-10-28 7,853 $221,690 $9,659 4.55 % New Holding 7,853 100.00 % $9,659
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Listed 29 holdings.
 

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Note: All amounts are based on price of stock at date reported versus the current price! They do not represent actual profit/loss!
There has been no adjustmentsfor splits!
Note: All amounts in USD, converted using Intrabank Exchange Rate on Date Reported/Today
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