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Korea Gas Corp (036460.KS)

Page Created: 2008-11-21 08:19:00-08Last Activity: 2008-11-04Industry: Country: Republic Of Korea

Korea Gas Corp (036460.KS)
Contact Information

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Phone: , Fax: , Website:

Korea Gas Corp (036460.KS)
ISIN International Securities Identification Number

ISIN(s): KR7036460004

Korea Gas Corp (036460.KS)
CUSIP Committee on Uniform Securities Identification Procedures

CUSIP(s): Y48861101

Korea Gas Corp (036460.KS)
Stock Symbols and Exchanges

Exchange Symbol Reuters Bloomberg Exchange Name MICR ACCR City Country Website
036460.KS 036460:KS Korea Exchange Stock Market XKRX KRX SM Seoul Republic Of Korea http://sm.krx.co.kr/webeng/

Korea Gas Corp (036460.KS)
Rankings

 
Number of funds
Global RankCountry RankIndustry Rank
Owned:
18
5328381
Score:
-0.54
9020--
Brand New:
2
5149441
Increased Existing:
2
5216--
No Change:
0
8979--
Reduced Existing:
2
4937--
Liquidated:
5
4572401
No Comparison Available:
7
---
Funds buying shares:
4
5421401
Buying %:
36.36 %
5625431
Funds not buying/selling shares:
0
---
Neutral %:
0.00 %
---
Funds selling shares:
7
4926401
Selling %:
63.63 %
2420871
   

Korea Gas Corp (036460.KS)
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
Gmo Emerging Markets Fund (Gmo Trust) Emerging Markets -36.04 % 2008-11-04 None - - - % Sold All -268,433 -100.00 % $2,359,526
Gmo Emerging Countries Fund (Gmo Trust) Emerging Markets -36.04 % 2008-11-04 None - - - % Sold All -2,777 -100.00 % $24,410
Fidelity Emerging Markets Fund (Fidelity Investment Trust) Emerging Markets -42.10 % 2008-09-29 219,697 $7,482,880 $-5,083,789 -40.45 % No Compare - - % -
Overseas Fund (Fidelity Advisor Series Viii) International Large-C ... -36.19 % 2008-09-29 32,709 $1,114,069 $-756,886 -40.45 % No Compare - - % -
Emerging Markets Fund (Fidelity Advisor Series Viii) Emerging Markets -42.07 % 2008-09-29 24,851 $846,425 $-575,052 -40.45 % No Compare - - % -
Vanguard Emerging Markets Stock Index Fund (Vanguard International Equity Index Funds) Emerging Markets -34.40 % 2008-09-29 179,029 $6,097,728 $-4,142,731 -40.45 % Added More 7,620 4.44 % $-176,327
Fidelity Aggressive International Fund (Fidelity Investment Trust) Global Flex Port -41.02 % 2008-09-29 47,123 $1,605,009 $-1,090,426 -40.45 % No Compare - - % -
Fidelity Southeast Asia Fund (Fidelity Investment Trust) Specialty & Misc -36.73 % 2008-09-29 224,917 $7,660,673 $-5,204,579 -40.45 % No Compare - - % -
Schwab Technology Fund (Schwab Capital Trust) Science & Tech -35.97 % 2008-09-24 294 $10,014 $-7,012 -41.18 % No Compare - - % -
International Equity Index Trust B (John Hancock Trust) Global Flex Port -29.60 % 2008-09-05 None - - - % Sold All -46,057 -100.00 % $1,716,084
International Equity Index Trust A (John Hancock Trust) Global Flex Port -38.03 % 2008-09-05 None - - - % Sold All -31,943 -100.00 % $1,190,196
Nacm Emerging Markets Opportunities Fund (Allianz Funds) Emerging Markets -42.96 % 2008-09-04 20,655 $703,509 $-746,678 -51.48 % Sold Some -103 -0.49 % $3,723
Oberweis China Opportunities Fund (Oberweis Funds) China Region -52.66 % 2008-08-29 None - - - % Sold All -1,100 -100.00 % $42,064
Oberweis International Opportunities Fund (Oberweis Funds) Global Flex Port -61.51 % 2008-08-29 17,000 $579,020 $-650,080 -52.89 % No Compare - - % -
Emerging Markets Fund (Nicholas Applegate Institutional Funds) Emerging Markets -47.47 % 2008-08-26 505 $17,200 $-18,877 -52.32 % Sold Some -1,222 -70.75 % $45,678
Health Care Portfolio (Variable Insurance Products Fund Iv) Health/Biotech -47.78 % 2008-08-25 12,014 $409,197 $-424,815 -50.93 % New Holding 12,014 100.00 % $-424,815
Utilities Portfolio (Variable Insurance Products Fund Iv) Utility -43.92 % 2008-08-25 846 $28,815 $-29,915 -50.93 % New Holding 846 100.00 % $-29,915
Causeway Emerging Markets Fund (Causeway Capital Management Trust) Emerging Markets -41.94 % 2008-08-21 4,078 $138,897 $-147,134 -51.43 % Added More 4,076 203800.00 % $-147,062
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Listed 18 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!
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