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Lg Chem Ltd (AH20.L)

Industry: PetrochemicalsCountry: United States
 
Number of funds
Global RankCountry RankIndustry Rank
Owned:
21
482539135
Score:
-0.31
9015--
Brand New:
3
488538786
Increased Existing:
3
4871--
No Change:
2
5910--
Reduced Existing:
2
4858--
Liquidated:
6
419632822
No Comparison Available:
5
---
Funds buying shares:
6
504640636
Buying %:
37.50 %
666042755
Funds not buying/selling shares:
2
---
Neutral %:
12.50 %
---
Funds selling shares:
8
464037205
Selling %:
50.00 %
348412253
   

Lg Chem Ltd (AH20.L) Details

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Fund Fund Type Fund Perf. Report Date Current Shares Current Value Value Chng. Return Activity Shares Chng. Shares Chg.% Results
Diversified Stock Portfolio Flexible Portfolio -0.64 % 2008-01-29 2,280 $228,661 $-22,967,489 -99.01 % No Compare - - % -
Emerging Markets Fund Emerging Markets 4.52 % 2008-01-30 8,000 $802,320 $-80,772,480 -99.01 % No Compare - - % -
Emerging Markets Fund Emerging Markets -33.45 % 2008-02-26 3,716 $372,678 $-37,516,885 -99.01 % No Compare - - % -
Goldman Sachs Asia Equity Fund Gold Oriented -2.52 % 2008-05-08 None - - - % Sold All -21,589 -100.00 % $2,807
Goldman Sachs Concentrated International Equity Fund Gold Oriented -0.50 % 2008-05-08 None - - - % Sold All -54,790 -100.00 % $7,123
Goldman Sachs Emerging Markets Equity Fund Emerging Markets -0.19 % 2008-05-08 None - - - % Sold All -292,470 -100.00 % $38,021
International Emerging Markets Account Emerging Markets -2.16 % 2008-03-06 9,721 $974,919 $-98,677,579 -99.02 % New Holding 9,721 100.00 % $-98,677,579
International Equity Index Fund Global Flex Port 0.33 % 2008-05-05 1,283 $128,672 $-1,360 -1.04 % No Compare - - % -
Ivy Pacific Opportunities Fund Pacific Ex Japan -37.24 % 2008-02-28 85,000 $8,524,650 $-858,862,100 -99.01 % No Change 85,000 0 % -
Laudus Rosenberg International Discovery Fund Global Flex Port -9.75 % 2008-02-26 7,830 $785,271 $-79,051,993 -99.01 % Added More 5,360 217.00 % $-54,114,774
Mellon Emerging Markets Fund Emerging Markets 5.15 % 2008-04-25 14,367 $1,440,866 $-22,269 -1.52 % Added More 6,600 84.97 % $-10,230
Msci Australia Specialty & Misc 2.30 % 2008-01-29 373,015 $37,409,674 $-3,757,551,682 -99.01 % New Holding 373,015 100.00 % $-3,757,551,682
Oppenheimer Absolute Return Fund Specialty & Misc -52.72 % 2008-01-25 428 $42,924 $-4,263,543 -99.00 % No Compare - - % -
Pacific Select Fund Pacific Region 2.60 % 2008-03-07 4,900 $491,421 $-50,159,830 -99.02 % No Change 4,900 0 % -
Sa Emerging Markets Fund Emerging Markets 4.30 % 2008-03-07 None - - - % Sold All -930 -100.00 % $9,520,131
Ssga Emerging Markets Fund Emerging Markets 0.88 % 2008-05-07 165,514 $16,599,399 $23,172 0.13 % Sold Some -2,937 -1.74 % $-411
The Boston Company Emerging Markets Core Equity Fund Emerging Markets -19.43 % 2008-02-28 975 $97,783 $-9,851,654 -99.01 % New Holding 975 100.00 % $-9,851,654
Value Fund Multi-Cap Core 0.26 % 2008-05-05 13,400 $1,343,886 $-14,204 -1.04 % Sold Some -1,283 -8.73 % $1,360
Van Kampen Emerging Markets Fund Emerging Markets -45.90 % 2008-02-27 40,510 $4,062,748 $-408,200,635 -99.01 % Added More 2,080 5.41 % $-20,959,203
Van Kampen Global Equity Allocation Fund Global Large-Cap Core -0.86 % 2008-02-27 None - - - % Sold All -220 -100.00 % $2,216,839
Vanguard Emerging Markets Stock Index Fund Emerging Markets 0.57 % 2008-03-31 None - - - % Sold All -290,608 -100.00 %
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Listed 21 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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