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Variable Insurance Products Fund V-Asset Manager Portfolio

Hypotheticals Contact Info Symbols SEC Sources Holdings/Transactions Report Options Columns to Show Preferences

Last Activity: 2009-05-29Fund Class: Specialty & Misc

Transactions: Currently showing holdings/transactions Filed between 2009-02-28 and 2009-05-29
Prices: Currenty using base stock prices on Filing Date compared to stock prices on 2009-11-06

Hypotheticals

Hypotheticals use the owners holdings and changes reported as a model portfolio combining with stock price changes between the base price date and end price date. All results/returns are hypothetical and are not actual results!
 
Base Value:$544,346,452Current Value:$609,722,895
Change:$65,376,44 3 Performance:12.01 %

Worst Move:Lost $-4,187,610 on changes made with Sprint Nextel Corp (S) buying shares when price went down.
Best Move:Made $7,043,481 on changes made with Amazoncom Inc (AMZN) buying shares when price went up.
Best Save:Saved $-2,381,500 on changes made with Cummins Inc (CMI) selling shares when price went down.
Missed Move:Missed $3,526,200 on changes made with Potash Corp Of Saskatchewan (POT) selling shares when price went up.

Show: (if you do not see any data recheck box below)

Contact Information

82 Devonshire St,Boston Ma 02109,,
Phone: 2142816361 Fax: Website:

Symbols

Unknown

SEC Sources

Form TypeFiledAs-Of/OnSec Filename
N-CSR2009-03-02edgar/data/823535/0000356494-09-000002.txt
N-CSR2009-03-11edgar/data/823535/0000035348-09-000007.txt
N-Q2009-05-292009-03-31edgar/data/823535/0000722574-09-000104.txt

Reporting Options

Use 'As-Of/On' instead of 'Filed' for dates: Begin date: End date:
A begin price of 1900-01-01 will use the date filed for begin price: Begin Price date: End Price date:
- report date span limited to 100 days, all dates in format of yyyy-mm-dd, all fields required!

Show/Hide Columns

Filed As-Of/On Form FullName
Symbol Country Industry Shares
Activity Shares Change Shares Change Pct. Hypothetical Old Value
Hypothetical New Value Hypothetical Value Change Hypothetical Return Hypothetical Results
Director Ten Pct Other Officer
Officer Title History News Articles

   

Holdings/Transactions

FiledAs-Of/OnFormFullnameSymbolCountryIndustrySharesActivityShares ChangeShares Pct. ChangeHypothetical Old ValueHypothetical New Value Hypothetical Value Chg.Hypothetical ReturnHypothetical Results Director Other Ten Pct Officer Officer Title News Article History
2009-05-292009-03-31 N-QRenaissancere Holdings LtdRNRUSReinsurance 86,000New Holding86,000100 %$3,936,220$4,584,660$648,44016.47 % $648,440News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Renaissancere Holdings Ltd
2009-05-292009-03-31 N-QIndustrial And Commercial Bank Of China Asia LtdICBAF.OBCNCommer Banks Non-Us 0Sold All-1,461,000-100 %---- % News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Industrial And Commercial Bank Of China Asia Ltd
2009-05-292009-03-31 N-QPnc Financial Services Group IncPNCUSSuper-Regional Banks-Us 177,600New Holding177,600100 %$8,089,680$9,496,272$1,406,59217.38 % $1,406,592News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Pnc Financial Services Group Inc
2009-05-292009-03-31 N-QCisco Systems IncCSCOUSNetworking Products 325,200Sold Some-183,200-36.03 %$6,016,200$7,746,264$1,730,06428.75 % $-974,624News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Cisco Systems Inc
2009-05-292009-03-31 N-QSuncor Energy IncSUUSOil Comp-Integrated 54,900New Holding54,900100 %$1,944,009$1,808,406$-135,603-6.97 % $-135,603News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Suncor Energy Inc
2009-05-292009-03-31 N-QMorgan StanleyMSUSFinance-Invest Bnkr/Brkr 358,900Added More294,200454.71 %$10,881,848$11,700,140$818,2927.51 % $670,776News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Morgan Stanley
2009-05-292009-03-31 N-QNorthwest Airlines CorpNWAUSAirlines 0Sold All-959,700-100 %---- % News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Northwest Airlines Corp
2009-05-292009-03-31 N-QAtwood Oceanics IncATWUSOil And Gas Drilling 0Sold All-140,800-100 %---42.13 % $-1,569,920News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Atwood Oceanics Inc
2009-05-292009-03-31 N-QDevry IncDVUSSchools 134,800New Holding134,800100 %$5,873,236$7,465,224$1,591,98827.10 % $1,591,988News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Devry Inc
2009-05-292009-03-31 N-QImpala Platinum Holdings LtdIMPUF.PKUSPlatinum 174,000Sold Some-70,600-28.86 %---- % News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Impala Platinum Holdings Ltd
2009-05-292009-03-31 N-QFirst Solar IncFSLRUSEnergy-Alternate Sources 44,400New Holding44,400100 %$8,448,876$5,236,092$-3,212,784-38.02 % $-3,212,784News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of First Solar Inc
2009-05-292009-03-31 N-QAltera CorpALTRUSElectronic Compo-Semicon 187,000New Holding187,000100 %$3,182,740$3,696,990$514,25016.15 % $514,250News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Altera Corp
2009-05-292009-03-31 N-QCephalon IncCEPHUSMedical-Drugs 121,800New Holding121,800100 %$7,102,158$7,096,068$-6,090-0.08 % $-6,090News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Cephalon Inc
2009-05-292009-03-31 N-QAerovironment IncAVAVUSAerospace/Defense 84,800New Holding84,800100 %$2,367,616$2,369,312$1,6960.07 % $1,696News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Aerovironment Inc
2009-05-292009-03-31 N-QBiomarin Pharmaceutical IncBMRNUSTherapeutics 0Sold All-69,800-100 %---18.36 % $-178,688News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Biomarin Pharmaceutical Inc
2009-05-292009-03-31 N-QValero Energy CorpVLOUSOil Refining And Marketing 0Sold All-189,400-100 %----22.70 % $962,152News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Valero Energy Corp
2009-05-292009-03-31 N-QSmithfield Foods IncSFDUSFood-Meat Products 0Sold All-78,700-100 %---10.69 % $-104,671News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Smithfield Foods Inc
2009-05-292009-03-31 N-QSimon Property Group IncSPGUSReits-Regional Malls 78,300New Holding78,300100 %$4,186,701$5,341,626$1,154,92527.58 % $1,154,925News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Simon Property Group Inc
2009-05-292009-03-31 N-QWalter Industries IncWLTUSCoal 0Sold All-48,900-100 %---99.44 % $-1,587,294News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Walter Industries Inc
2009-05-292009-03-31 N-QCf Industries Holdings IncCFUSAgricultural Chemicals 0Sold All-93,000-100 %---1.81 % $-131,130News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Cf Industries Holdings Inc
2009-05-292009-03-31 N-QBaxter International IncBAXUSMedical Products 159,100Added More118,400290.90 %$8,144,329$8,769,592$625,2637.67 % $465,312News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Baxter International Inc
2009-05-292009-03-31 N-QPotash Corp Of SaskatchewanPOTCAAgricultural Chemicals 3,600Sold Some-180,000-98.03 %$417,024$346,500$-70,524-16.91 % $3,526,200News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Potash Corp Of Saskatchewan
2009-05-292009-03-31 N-QEverest Re Group LtdREBMReinsurance 61,600New Holding61,600100 %$4,264,568$5,423,880$1,159,31227.18 % $1,159,312News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Everest Re Group Ltd
2009-05-292009-03-31 N-QRockwood Holdings IncROCUSChemicals-Diversified 93,200New Holding93,200100 %$1,390,544$2,042,012$651,46846.84 % $651,468News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Rockwood Holdings Inc
2009-05-292009-03-31 N-QPrecision Castparts CorpPCPUSMetal Processors And Fabrica 0Sold All-20,400-100 %---20.52 % $-345,780News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Precision Castparts Corp
2009-05-292009-03-31 N-QMosaic CotheMOSUSAgricultural Chemicals 146,800Sold Some-379,300-72.09 %$8,029,960$7,391,380$-638,580-7.95 % $1,649,955News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Mosaic Cothe
2009-05-292009-03-31 N-QNewmont Mining CorpNEMAUGold Mining 202,700Sold Some-6,800-3.24 %$9,905,949$9,940,408$34,4590.34 % $-1,156News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Newmont Mining Corp
2009-05-292009-03-31 N-QHumana IncHUMUSMedical-Hmo 148,000New Holding148,000100 %$4,636,840$5,986,600$1,349,76029.10 % $1,349,760News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Humana Inc
2009-05-292009-03-31 N-QBj Services CoBJSUSOil-Field Services 0Sold All-194,600-100 %---20.90 % $-636,342News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Bj Services Co
2009-05-292009-03-31 N-QBmc Software IncBMCUSEnterprise Software/Serv 100,400New Holding100,400100 %$3,423,640$3,737,892$314,2529.17 % $314,252News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Bmc Software Inc
2009-05-292009-03-31 N-QGeneral Growth Properties IncGGPUSReits-Regional Malls 0Sold All-154,600-100 %---- % News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of General Growth Properties Inc
2009-05-292009-03-31 N-QNortel Networks CorpNTUSTelecommunication Equip 0Sold All-144-100 %---- % News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Nortel Networks Corp
2009-05-292009-03-31 N-QNorfolk Southern CorpNSCUSTransport-Rail 0Sold All-121,700-100 %---39.97 % $-1,809,679News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Norfolk Southern Corp
2009-05-292009-03-31 N-QSouthwest Airlines CoLUVUSAirlines 0Sold All-239,100-100 %---28.33 % $-456,681News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Southwest Airlines Co
2009-05-292009-03-31 N-QDarden Restaurants IncDRIUSRetail-Restaurants 0Sold All-116,900-100 %----9.73 % $411,488News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Darden Restaurants Inc
2009-05-292009-03-31 N-QCovidien LtdCOVBMMedical Products 244,200Added More115,20089.30 %$8,722,824$10,757,010$2,034,18623.32 % $959,616News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Covidien Ltd
2009-05-292009-03-31 N-QCsx CorpCSXUSTransport-Rail 0Sold All-45,000-100 %---50.15 % $-716,850News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Csx Corp
2009-05-292009-03-31 N-QPeabody Energy CorpBTUUSCoal 0Sold All-242,100-100 %---24.22 % $-1,992,483News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Peabody Energy Corp
2009-05-292009-03-31 N-QGeneral Dynamics CorpGDUSAerospace/Defense 0Sold All-30,900-100 %---15.25 % $-268,212News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of General Dynamics Corp
2009-05-292009-03-31 N-QApache CorpAPAUSOil Comp-Explor And Prodtn 43,200Added More8,30023.78 %$3,640,032$4,271,184$631,15217.33 % $121,263News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Apache Corp
2009-05-292009-03-31 N-QEog Resources IncEOGUSOil Comp-Explor And Prodtn 49,500Sold Some-42,400-46.13 %$3,622,905$4,472,325$849,42023.44 % $-727,584News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Eog Resources Inc
2009-05-292009-03-31 N-QNucor CorpNUEUSSteel-Producers 0Sold All-96,800-100 %----10.40 % $442,376News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Nucor Corp
2009-05-292009-03-31 N-QNewell Rubbermaid IncNWLUSHome Decoration Products 0Sold All-145,000-100 %---25.28 % $-421,950News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Newell Rubbermaid Inc
2009-05-292009-03-31 N-QXto Energy IncXTOUSOil Comp-Explor And Prodtn 100Sold Some-134,800-99.92 %$4,277$4,325$481.12 % $-64,704News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Xto Energy Inc
2009-05-292009-03-31 N-QQuestar CorpSTRUSPipelines 34,700New Holding34,700100 %$1,175,983$1,410,555$234,57219.94 % $234,572News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Questar Corp
2009-05-292009-03-31 N-QBest Buy Co IncBBYUSRetail-Consumer Electron 205,400New Holding205,400100 %$7,209,540$8,265,296$1,055,75614.64 % $1,055,756News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Best Buy Co Inc
2009-05-292009-03-31 N-QOmniture IncOMTRUSComputer Software 85,100Sold Some-22,200-20.68 %$1,006,733--- % News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Omniture Inc
2009-05-292009-03-31 N-QHalliburton CoHALUSOil-Field Services 0Sold All-50,600-100 %---35.32 % $-409,860News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Halliburton Co
2009-05-292009-03-31 N-QMastercard IncMAUSCommercial Serv-Finance 10,000Sold Some-12,200-54.95 %$1,763,300$2,369,000$605,70034.35 % $-738,954News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Mastercard Inc
2009-05-292009-03-31 N-QOceaneering International IncOIIUSOil-Field Services 22,400New Holding22,400100 %$1,151,808$1,238,272$86,4647.50 % $86,464News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Oceaneering International Inc
2009-05-292009-03-31 N-QBank Of New York Mellon CorptheBKUSUnknown 109,000Added More8,7008.67 %$3,028,020$2,932,100$-95,920-3.16 % $-7,656News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Bank Of New York Mellon Corpthe
2009-05-292009-03-31 N-QZions BancorporationZB-AUSCommer Banks-Western Us 0Sold All-35,500-100 %---- % News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Zions Bancorporation
2009-05-292009-03-31 N-QLululemon Athletica IncLULUUSRetail-Apparel/Shoe 0Sold All-45,400-100 %---104.90 % $-601,550News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Lululemon Athletica Inc
2009-05-292009-03-31 N-QPetro-CanadaPCZCAOil Comp-Integrated 106,400New Holding106,400100 %$4,737,992--- % News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Petro-Canada
2009-05-292009-03-31 N-QUltra Petroleum CorpUPLCAOil Comp-Explor And Prodtn 34,000Sold Some-381,400-91.81 %$1,539,520$1,618,060$78,5405.10 % $-881,034News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Ultra Petroleum Corp
2009-05-292009-03-31 N-QTextron IncTXT-AUSDiversified Manufact Op 278,900New Holding278,900100 %---- % News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Textron Inc
2009-05-292009-03-31 N-QBarrick Gold CorpABXCAGold Mining 72,400Sold Some-108,800-60.04 %$2,756,992$3,014,012$257,0209.32 % $-386,240News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Barrick Gold Corp
2009-05-292009-03-31 N-QTaubman Centers IncTCO-GUSReits-Regional Malls 0Sold All-59,000-100 %---- % News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Taubman Centers Inc
2009-05-292009-03-31 N-QCme Group IncCMEUSFinance-Other Services 24,300New Holding24,300100 %$7,815,852$7,450,866$-364,986-4.66 % $-364,986News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Cme Group Inc
2009-05-292009-03-31 N-QAlpha Natural Resources IncANRUSCoal 0Sold All-154,100-100 %---37.42 % $-1,588,771News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Alpha Natural Resources Inc
2009-05-292009-03-31 N-QSlm CorpSLMUSUnknown 212,200New Holding212,200100 %$1,402,642$2,143,220$740,57852.79 % $740,578News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Slm Corp
2009-05-292009-03-31 N-QIntercontinentalexchange IncICEBEFinance-Other Services 74,600New Holding74,600100 %$8,041,134$7,908,346$-132,788-1.65 % $-132,788News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Intercontinentalexchange Inc
2009-05-292009-03-31 N-QFifth Third BancorpFITBUSSuper-Regional Banks-Us 0Sold All-74,600-100 %---32.89 % $-169,342News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Fifth Third Bancorp
2009-05-292009-03-31 N-QNrg Energy IncNRGUSIndepend Power Producer 153,800Sold Some-37,400-19.56 %$3,460,500$3,654,288$193,7885.60 % $-47,124News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Nrg Energy Inc
2009-05-292009-03-31 N-QPf Changs China Bistro IncPFCBUSRetail-Restaurants 19,100New Holding19,100100 %$610,054$600,504$-9,550-1.56 % $-9,550News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Pf Changs China Bistro Inc
2009-05-292009-03-31 N-QSteel Dynamics IncSTLDUSSteel-Producers 0Sold All-347,600-100 %----5.75 % $298,936News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Steel Dynamics Inc
2009-05-292009-03-31 N-QT Rowe Price Group IncTROWUSInvest Mgmnt/Advis Serv 0Sold All-39,900-100 %---23.19 % $-375,459News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of T Rowe Price Group Inc
2009-05-292009-03-31 N-QPricelinecom IncPCLNUSE-Commerce/Services 0Sold All-15,200-100 %---56.20 % $-940,728News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Pricelinecom Inc
2009-05-292009-03-31 N-QWells Fargo And CoWFCUSUnknown 890,000Added More740,200494.12 %$22,695,000$24,136,800$1,441,8006.35 % $1,199,124News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Wells Fargo And Co
2009-05-292009-03-31 N-QWeatherford International LtdWFTBMOil-Field Services 0Sold All-224,200-100 %----14.39 % $668,116News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Weatherford International Ltd
2009-05-292009-03-31 N-QFmc CorpFMCUSChemicals-Diversified 126,600Sold Some-30,900-19.61 %$6,880,710$6,602,190$-278,520-4.04 % $67,980News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Fmc Corp
2009-05-292009-03-31 N-QSpx CorpSPWUSDiversified Manufact Op 0Sold All-23,000-100 %---21.12 % $-223,100News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Spx Corp
2009-05-292009-03-31 N-QTjx Cos IncTJXUSRetail-Discount 160,900New Holding160,900100 %$4,748,159$6,167,297$1,419,13829.88 % $1,419,138News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Tjx Cos Inc
2009-05-292009-03-31 N-QWal-Mart Stores IncWMTUSRetail-Discount 211,400Added More85,20067.51 %$10,515,036$10,834,250$319,2143.03 % $128,652News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Wal-Mart Stores Inc
2009-05-292009-03-31 N-QExxon Mobil CorpXOMUSOil Comp-Integrated 170,800New Holding170,800100 %$11,844,980$12,396,664$551,6844.65 % $551,684News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Exxon Mobil Corp
2009-05-292009-03-31 N-QRange Resources CorpRRCUSOil Comp-Explor And Prodtn 40,300Sold Some-213,600-84.12 %$1,846,143$2,031,926$185,78310.06 % $-984,696News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Range Resources Corp
2009-05-292009-03-31 N-QRaytheon CoRTNUSAerospace/Defense 0Sold All-102,200-100 %---6.53 % $-298,424News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Raytheon Co
2009-05-292009-03-31 N-QUs Airways Group IncLCCUSAirlines 90,300New Holding90,300100 %$232,974$288,057$55,08323.64 % $55,083News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Us Airways Group Inc
2009-05-292009-03-31 N-QDow Chemical CotheDOWUSChemicals-Diversified 274,200New Holding274,200100 %$4,847,856$6,800,160$1,952,30440.27 % $1,952,304News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Dow Chemical Cothe
2009-05-292009-03-31 N-QCelgene CorpCELGUSMedical-Biomedical/Gene 46,200Sold Some-99,100-68.20 %$1,951,488$2,450,910$499,42225.59 % $-1,071,271News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Celgene Corp
2009-05-292009-03-31 N-QGenzyme CorpGENZUSMedical-Biomedical/Gene 162,300New Holding162,300100 %$9,598,422$8,485,044$-1,113,378-11.59 % $-1,113,378News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Genzyme Corp
2009-05-292009-03-31 N-QGilead Sciences IncGILDUSTherapeutics 339,400New Holding339,400100 %$14,628,140$15,700,644$1,072,5047.33 % $1,072,504News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Gilead Sciences Inc
2009-05-292009-03-31 N-QHess CorpHESUSOil Comp-Integrated 73,300Sold Some-114,400-60.94 %$4,881,047$4,176,634$-704,413-14.43 % $1,099,384News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Hess Corp
2009-05-292009-03-31 N-QHewlett-Packard CoHPQUSComputers 95,700New Holding95,700100 %$3,287,295$4,704,612$1,417,31743.11 % $1,417,317News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Hewlett-Packard Co
2009-05-292009-03-31 N-QEnsco International IncESVUSOil And Gas Drilling 0Sold All-71,500-100 %---23.50 % $-653,510News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Ensco International Inc
2009-05-292009-03-31 N-QEaton CorpETNUSDiversified Manufact Op 0Sold All-32,000-100 %---47.83 % $-665,920News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Eaton Corp
2009-05-292009-03-31 N-QEl Paso CorpEPUSPipelines 435,700New Holding435,700100 %$4,248,075$4,313,430$65,3551.53 % $65,355News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of El Paso Corp
2009-05-292009-03-31 N-QMyriad Genetics IncMYGNUSMedical-Biomedical/Gene 109,600New Holding109,600100 %$3,963,136$2,672,048$-1,291,088-32.57 % $-1,291,088News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Myriad Genetics Inc
2009-05-292009-03-31 N-QGoogle IncGOOGUSWeb Portals/Isp 700New Holding700100 %$292,061$385,770$93,70932.08 % $93,709News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Google Inc
2009-05-292009-03-31 N-QChesapeake Energy CorpCHKUSOil Comp-Explor And Prodtn 297,430Sold Some-322,270-52.00 %$6,739,764$7,203,755$463,9916.88 % $-502,741News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Chesapeake Energy Corp
2009-05-292009-03-31 N-QCitigroup IncCUSFinance-Invest Bnkr/Brkr 6,000Sold Some-127,900-95.51 %$22,320$24,360$2,0409.13 % $-43,486News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Citigroup Inc
2009-05-292009-03-31 N-QCleveland-Cliffs IncCLFUSMetal-Iron 0Sold All-35,200-100 %---32.77 % $-314,336News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Cleveland-Cliffs Inc
2009-05-292009-03-31 N-QTravelers Cos InctheTRVUSProperty/Casualty Ins 37,300New Holding37,300100 %$1,516,618$1,935,870$419,25227.64 % $419,252News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Travelers Cos Incthe
2009-05-292009-03-31 N-QFmc Technologies IncFTIUSOil Field Mach And Equip 0Sold All-34,100-100 %---36.06 % $-511,841News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Fmc Technologies Inc
2009-05-292009-03-31 N-QLowes Cos IncLOWUSRetail-Building Products 373,900New Holding373,900100 %$7,107,839$7,829,466$721,62710.15 % $721,627News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Lowes Cos Inc
2009-05-292009-03-31 N-QJohnson And JohnsonJNJUSMedical Products 0Sold All-32,400-100 %---9.31 % $-166,536News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Johnson And Johnson
2009-05-292009-03-31 N-QGenuine Parts CoGPCUSDistribution/Wholesale 31,900New Holding31,900100 %$1,068,012$1,154,142$86,1308.06 % $86,130News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Genuine Parts Co
2009-05-292009-03-31 N-QGoldman Sachs Group InctheGSUSFinance-Invest Bnkr/Brkr 78,800Added More40,300104.67 %$11,392,116$13,536,264$2,144,14818.82 % $1,096,563News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Goldman Sachs Group Incthe
2009-05-292009-03-31 N-QGraftech International LtdGTIUSElectric Products-Misc 0Sold All-79,100-100 %---36.77 % $-295,834News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Graftech International Ltd
2009-05-292009-03-31 N-QMemc Electronic Materials IncWFRITElectronic Compo-Semicon 0Sold All-104,000-100 %----34.37 % $689,520News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Memc Electronic Materials Inc
2009-05-292009-03-31 N-QTerra Industries IncTRAUSAgricultural Chemicals 212,300Sold Some-16,000-7.00 %$5,899,817$7,664,030$1,764,21329.90 % $-132,960News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Terra Industries Inc
2009-05-292009-03-31 N-QTyson Foods IncTSNUSFood-Meat Products 0Sold All-58,600-100 %----3.37 % $26,370News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Tyson Foods Inc
2009-05-292009-03-31 N-QVerizon Communications IncVZUSTelephone-Integrated 106,100New Holding106,100100 %$3,104,486$3,136,316$31,8301.02 % $31,830News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Verizon Communications Inc
2009-05-292009-03-31 N-QMedco Health Solutions IncMHSUSPharmacy Services 112,000New Holding112,000100 %$5,139,680$6,791,680$1,652,00032.14 % $1,652,000News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Medco Health Solutions Inc
2009-05-292009-03-31 N-QNational Oilwell Varco IncNOVUSOil Field Mach And Equip 53,800Sold Some-9,700-15.27 %$2,077,756$2,349,984$272,22813.10 % $-49,082News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of National Oilwell Varco Inc
2009-05-292009-03-31 N-QSempra EnergySREUSGas-Distribution 46,600Added More5,80014.21 %$2,128,688$2,364,950$236,26211.09 % $29,406News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Sempra Energy
2009-05-292009-03-31 N-QSouthwestern Energy CoSWNUSOil Comp-Explor And Prodtn 197,400Sold Some-473,400-70.57 %$8,580,978$8,831,676$250,6982.92 % $-601,218News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Southwestern Energy Co
2009-05-292009-03-31 N-QResearch In Motion LtdRIMMCAComputers 72,900Added More63,400667.36 %$5,732,856$4,280,688$-1,452,168-25.33 % $-1,262,928News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Research In Motion Ltd
2009-05-292009-03-31 N-QState Street CorpSTTUSFiduciary Banks 79,200New Holding79,200100 %$3,678,840$3,282,840$-396,000-10.76 % $-396,000News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of State Street Corp
2009-05-292009-03-31 N-QMbia IncMBIUSFinancial Guarantee Ins 246,400Added More119,30093.86 %$1,589,280$1,071,840$-517,440-32.55 % $-250,530News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Mbia Inc
2009-05-292009-03-31 N-QPetroplus Holdings AgPEPFF.PKCHOil Refining And Marketing 0Sold All-101,922-100 %---- % News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Petroplus Holdings Ag
2009-05-292009-03-31 N-QNintendo Co LtdNTDOF.PKJPToys 18,100Sold Some-600-3.20 %---- % News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Nintendo Co Ltd
2009-05-292009-03-31 N-QAmr CorpAARUSUnknown 238,500Sold Some-84,600-26.18 %---- % News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Amr Corp
2009-05-292009-03-31 N-QChina Shenhua Energy Co LtdCUAEF.PKCNCoal 0Sold All-114,900-100 %---- % News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of China Shenhua Energy Co Ltd
2009-05-292009-03-31 N-QVtg AgVT9.BEDETransport-Rail 4,000New Holding4,000100 %---- % News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Vtg Ag
2009-05-292009-03-31 N-QPhilip Morris International IncPMUSTobacco 118,800New Holding118,800100 %$5,065,632$5,801,004$735,37214.51 % $735,372News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Philip Morris International Inc
2009-05-292009-03-31 N-QUnited States Steel CorpXUSSteel-Producers 0Sold All-81,500-100 %---9.68 % $-268,950News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of United States Steel Corp
2009-05-292009-03-31 N-QVisa IncVUSCommercial Serv-Finance 22,100Sold Some-68,100-75.49 %$1,496,391$1,760,707$264,31617.66 % $-814,476News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Visa Inc
2009-05-292009-03-31 N-QGoldcorp IncGGCAGold Mining 0Sold All-245,800-100 %---3.82 % $-373,616News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Goldcorp Inc
2009-05-292009-03-31 N-QTenet Healthcare CorpTHCUSMedical-Hospitals 370,000Sold Some-469,500-55.92 %$1,343,100$1,890,700$547,60040.77 % $-694,860News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Tenet Healthcare Corp
2009-05-292009-03-31 N-QOccidental Petroleum CorpOXYUSOil Comp-Explor And Prodtn 96,300Added More67,100229.79 %$6,462,693$7,788,744$1,326,05120.51 % $923,967News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Occidental Petroleum Corp
2009-05-292009-03-31 N-QMonsanto CoMONUSAgricultural Chemicals 0Sold All-229,100-100 %----15.83 % $2,980,591News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Monsanto Co
2009-05-292009-03-31 N-QStarent Networks CorpSTARUSNetworking Products 111,500Added More24,30027.86 %$2,355,995$3,774,275$1,418,28060.19 % $309,096News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Starent Networks Corp
2009-05-292009-03-31 N-QDryships IncDRYSMHTransport-Marine 0Sold All-89,100-100 %----24.66 % $179,982News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Dryships Inc
2009-05-292009-03-31 N-QSchlumberger LtdSLBANOil-Field Services 0Sold All-65,000-100 %---12.52 % $-466,050News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Schlumberger Ltd
2009-05-292009-03-31 N-QCaterpillar IncCATBEMachinery-Constr And Mining 0Sold All-62,100-100 %---62.43 % $-1,374,894News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Caterpillar Inc
2009-05-292009-03-31 N-QChevron CorpCVXBEOil Comp-Integrated 32,900New Holding32,900100 %$2,193,443$2,550,737$357,29416.28 % $357,294News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Chevron Corp
2009-05-292009-03-31 N-QUal CorpUAUAUSAirlines 477,600Sold Some-179,214-27.28 %$2,220,840$3,324,096$1,103,25649.67 % $-413,984News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Ual Corp
2009-05-292009-03-31 N-QAmazoncom IncAMZNUSE-Commerce/Products 146,100New Holding146,100100 %$11,394,339$18,437,820$7,043,48161.81 % $7,043,481News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Amazoncom Inc
2009-05-292009-03-31 N-QApple IncAAPLUSComputers 93,700Added More33,30055.13 %$12,725,397$18,209,658$5,484,26143.09 % $1,949,049News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Apple Inc
2009-05-292009-03-31 N-QArch Coal IncACIUSCoal 0Sold All-243,100-100 %---19.58 % $-882,453News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Arch Coal Inc
2009-05-292009-03-31 N-QEntropic Communications IncENTRUSElectronic Compo-Semicon 174,000No Change00 %$408,900$490,680$81,78020.00 % $0News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Entropic Communications Inc
2009-05-292009-03-31 N-QVertex Pharmaceuticals IncVRTXUSMedical-Biomedical/Gene 165,800New Holding165,800100 %$4,935,866$6,502,676$1,566,81031.74 % $1,566,810News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Vertex Pharmaceuticals Inc
2009-05-292009-03-31 N-QExpress Scripts IncESRXUSPharmacy Services 264,200Added More176,800202.28 %$16,922,010$22,536,260$5,614,25033.17 % $3,757,000News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Express Scripts Inc
2009-05-292009-03-31 N-QCree IncCREEUSElectronic Compo-Semicon 0Sold All-64,800-100 %---45.94 % $-903,960News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Cree Inc
2009-05-292009-03-31 N-QBiogen Idec IncBIIBUSMedical-Biomedical/Gene 120,500Added More73,300155.29 %$6,240,695$5,514,080$-726,615-11.64 % $-441,999News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Biogen Idec Inc
2009-05-292009-03-31 N-QNoble CorpNEBEOil And Gas Drilling 120,600New Holding120,600100 %$4,145,022$5,106,204$961,18223.18 % $961,182News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Noble Corp
2009-05-292009-03-31 N-QCabot Oil And Gas CorpCOGUSOil Comp-Explor And Prodtn 0Sold All-233,800-100 %---14.06 % $-1,154,972News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Cabot Oil And Gas Corp
2009-05-292009-03-31 N-QUnited Parcel Service IncUPSUSTransport-Services 71,200New Holding71,200100 %$3,641,168$3,906,032$264,8647.27 % $264,864News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of United Parcel Service Inc
2009-05-292009-03-31 N-QUnitedhealth Group IncUNHUSMedical-Hmo 0Sold All-289,300-100 %---7.78 % $-598,851News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Unitedhealth Group Inc
2009-05-292009-03-31 N-QSl Green Realty CorpSLGUSReits-Office Property 0Sold All-94,800-100 %---65.28 % $-1,417,260News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Sl Green Realty Corp
2009-05-292009-03-31 N-QDelta Air Lines IncDALUSAirlines 1,547,025Added More936,925153.56 %$8,988,215$12,051,325$3,063,11034.07 % $1,855,112News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Delta Air Lines Inc
2009-05-292009-03-31 N-QKinross Gold CorpKGCCAGold Mining 0Sold All-350,800-100 %----7.71 % $547,248News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Kinross Gold Corp
2009-05-292009-03-31 N-QAbbott LaboratoriesABTUSMedical-Drugs 31,200Sold Some-40,400-56.42 %$1,405,872$1,607,736$201,86414.35 % $-261,388News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Abbott Laboratories
2009-05-292009-03-31 N-QBank Of America CorpBACUSSuper-Regional Banks-Us 965,500Added More864,400854.99 %$10,881,185$14,530,775$3,649,59033.54 % $3,267,432News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Bank Of America Corp
2009-05-292009-03-31 N-QBb And T CorpBBTUSCommer Banks-Southern Us 0Sold All-43,800-100 %---9.14 % $-89,790News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Bb And T Corp
2009-05-292009-03-31 N-QSprint Nextel CorpSUSTelephone-Integrated 1,820,700New Holding1,820,700100 %$9,376,605$5,188,995$-4,187,610-44.66 % $-4,187,610News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Sprint Nextel Corp
2009-05-292009-03-31 N-QJpmorgan Chase And CoJPMUSFinance-Invest Bnkr/Brkr 526,400Added More443,500534.98 %$19,424,160$22,887,872$3,463,71217.83 % $2,918,230News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Jpmorgan Chase And Co
2009-05-292009-03-31 N-QCrown Holdings IncCCKUSContainers-Metal/Glass 72,700New Holding72,700100 %$1,708,450$1,912,737$204,28711.95 % $204,287News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Crown Holdings Inc
2009-05-292009-03-31 N-QCummins IncCMIUSEngines-Internal Combust 0Sold All-173,200-100 %---42.39 % $-2,381,500News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Cummins Inc
2009-05-292009-03-31 N-QIntel CorpINTCUSElectronic Compo-Semicon 198,800Sold Some-9,000-4.33 %$3,125,136$3,763,284$638,14820.41 % $-28,890News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Intel Corp
2009-05-292009-03-31 N-QNabors Industries LtdNBRBMOil And Gas Drilling 0Sold All-179,300-100 %---22.98 % $-736,923News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Nabors Industries Ltd
2009-05-292009-03-31 N-QDirectv Group InctheDTVUSCable Tv 350,900Added More206,500143.00 %$7,895,250$10,032,231$2,136,98127.06 % $1,257,585News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Directv Group Incthe
2009-05-292009-03-31 N-QGeneral Electric CoGEUSDiversified Manufact Op 702,000New Holding702,000100 %$9,462,960$10,761,660$1,298,70013.72 % $1,298,700News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of General Electric Co
2009-05-292009-03-31 N-QAllianz SeAZDEMulti-Line Insurance 39,200New Holding39,200100 %$387,688--- % News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Allianz Se
2009-05-292009-03-31 N-QAce LtdACEBEMulti-Line Insurance 95,200New Holding95,200100 %$4,187,848$4,881,856$694,00816.57 % $694,008News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Ace Ltd
2009-05-292009-03-31 N-QWyethWYEUSMedical-Drugs 16,800New Holding16,800100 %$753,648--- % News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Wyeth
2009-05-292009-03-31 N-QSandridge Energy IncSDUSOil Comp-Explor And Prodtn 19,400No Change00 %$211,266$197,104$-14,162-6.70 % $0News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Sandridge Energy Inc
2009-05-292009-03-31 N-QAmbac Financial Group IncABKUSFinancial Guarantee Ins 0Sold All-512,900-100 %----6.40 % $41,032News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Ambac Financial Group Inc
2009-05-292009-03-31 N-QEnergy Conversion Devices IncENERUSBatteries/Battery Sys 43,400New Holding43,400100 %$746,914$498,666$-248,248-33.23 % $-248,248News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Energy Conversion Devices Inc
2009-05-292009-03-31 N-QEquinix IncEQIXUSWeb Hosting/Design 57,700New Holding57,700100 %$4,292,880$5,440,533$1,147,65326.73 % $1,147,653News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Equinix Inc
2009-05-292009-03-31 N-QCostco Wholesale CorpCOSTUSRetail-Discount 274,300Added More178,200185.43 %$13,309,036$16,296,163$2,987,12722.44 % $1,940,598News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Costco Wholesale Corp
2009-05-292009-03-31 N-QCalifornia Pizza Kitchen IncCPKIUSRetail-Restaurants 45,500New Holding45,500100 %$634,725$580,580$-54,145-8.53 % $-54,145News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of California Pizza Kitchen Inc
2009-05-292009-03-31 N-QTarget CorpTGTUSRetail-Discount 233,500New Holding233,500100 %$9,176,550$11,604,950$2,428,40026.46 % $2,428,400News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Target Corp
2009-05-292009-03-31 N-QPfizer IncPFEUSMedical-Drugs 699,200New Holding699,200100 %$10,620,848$11,858,432$1,237,58411.65 % $1,237,584News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Pfizer Inc
2009-05-292009-03-31 N-QQuicksilver Resources IncKWKUSOil Comp-Explor And Prodtn 62,800Sold Some-597,400-90.48 %$706,500$806,980$100,48014.22 % $-955,840News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Quicksilver Resources Inc
2009-05-292009-03-31 N-QAlcoa IncAAUSMetal-Aluminum 538,400New Holding538,400100 %$4,964,048$6,939,976$1,975,92839.80 % $1,975,928News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Alcoa Inc
2009-05-292009-03-31 N-QQualcomm IncQCOMUSWireless Equipment 100,100Added More2,5002.56 %$4,363,359$4,394,390$31,0310.71 % $775News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Qualcomm Inc
2009-05-292009-03-31 N-QJuniper Networks IncJNPRUSNetworking Products 0Sold All-39,100-100 %---2.42 % $-23,460News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Juniper Networks Inc
2009-05-292009-03-31 N-QTransocean IncRIGKYOil-Field Services 0Sold All-42,107-100 %---7.44 % $-249,273News Article History of Variable Insurance Products Fund V-Asset Manager Portfolio Ownership Of Transocean Inc
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