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Aruba Networks Inc (ARUN)

 
Industry: Wireless EquipmentCountry: United States
 
Number of funds
Global RankCountry RankIndustry Rank
Owned:
129
2073190711
Score:
0.29
3020--
Brand New:
24
155514449
Increased Existing:
26
2379--
No Change:
14
1758--
Reduced Existing:
18
2451--
Liquidated:
14
2118194914
No Comparison Available:
33
---
Funds buying shares:
50
2110195613
Buying %:
52.08 %
2844162618
Funds not buying/selling shares:
14
---
Neutral %:
14.58 %
---
Funds selling shares:
32
2439225314
Selling %:
33.33 %
5192378526
   

Aruba Networks Inc (ARUN) 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
American International Group Inc Institution -4.02 % 2008-08-14 None - - - % Sold All -7,168 -100.00 % $11,039
Artis Capital Management Llc Institution -8.67 % 2008-08-14 2,822,141 $14,138,926 $-4,346,097 -23.51 % Sold Some -836,043 -22.85 % $1,287,506
Artisan Partners Ltd Partnership Institution -4.72 % 2008-08-13 3,083,100 $15,446,331 $-4,439,664 -22.32 % Added More 528,500 20.68 % $-761,040
Axa Institution -4.42 % 2008-08-14 216,257 $1,083,448 $-333,036 -23.51 % Added More 174,415 416.84 % $-268,599
Bailard Biehl And Kaiser Inc Institution 0.83 % 2008-07-18 None - - - % Sold All -61,500 -100.00 % $-32,595
Balanced Fund (American Performance Funds) Flexible Portfolio -5.07 % 2008-07-30 640 $3,206 $-499 -13.47 % No Compare - - % -
Balyasny Asset Management Llc Institution 0.00 % 2008-09-05 50,000 $250,500 $0 0.00 % No Compare - - % -
Bank Of America Corp Institution -3.56 % 2008-08-12 10,806 $54,138 $-14,912 -21.59 % New Holding 10,806 100.00 % $-14,912
Bank Of New York Mellon Corp Institution -3.86 % 2008-08-14 242,520 $1,215,025 $-373,481 -23.51 % Added More 79,544 48.80 % $-122,498
Barclays Global Investors Uk Holdings Ltd Institution -0.63 % 2008-07-25 1,463,179 % Added More 1,040,207 245.92 %
Bear Stearns And Co Inc Institution -9.57 % 2008-05-15 3,014 $15,100 $-5,425 -26.43 % Sold Some -2,000 -39.88 % $3,600
Black Mesa Capital Llc Institution -4.22 % 2008-08-11 12,612 $63,186 $-17,657 -21.84 % New Holding 12,612 100.00 % $-17,657
Blackrock Group Ltd Institution -5.09 % 2008-08-04 8,800 $44,088 $-7,920 -15.22 % No Change 8,800 0 % -
Blackrock Investment Management Llc Institution -0.74 % 2008-08-04 75,594 $378,726 $-68,035 -15.22 % Added More 51,994 220.31 % $-46,795
Bnp Paribas Asset Management S A S Institution -7.21 % 2008-08-13 381,663 $1,912,132 $-549,595 -22.32 % No Change 381,663 0 % -
Brc Investment Management Llc Institution -2.47 % 2008-08-06 75,900 $380,259 $-88,803 -18.93 % New Holding 75,900 100.00 % $-88,803
Brightfield Capital Management Llc Institution -6.28 % 2008-08-08 203,900 $1,021,539 $-242,641 -19.19 % Sold Some -78,676 -27.84 % $93,624
California Public Employees Retirement System Institution -0.43 % 2008-08-04 17,500 $87,675 $-15,750 -15.22 % No Change 17,500 0 % -
Capital Guardian Trust Co Institution -4.27 % 2008-08-14 116,600 $584,166 $-179,564 -23.51 % Sold Some -600 -0.51 % $924
Chinook Capital Management Institution -5.56 % 2008-08-14 575,987 $2,885,695 $-887,020 -23.51 % New Holding 575,987 100.00 % $-887,020
Citigroup Inc Institution -3.93 % 2008-08-14 44,091 $220,896 $-67,900 -23.51 % New Holding 44,091 100.00 % $-67,900
Claymore Advisors Llc Institution -5.27 % 2008-08-07 None - - - % Sold All -41 -100.00 % $43
Claymoremorningstar Information Super Sector Index Etf (Claymore Exchange Traded Fund Trust) Specialty & Misc -4.40 % 2008-08-05 41 $205 $-43 -17.46 % No Change 41 0 % -
Communications Equipment Portfolio (Fidelity Select Portfolios) Specialty & Misc -5.07 % 2008-07-30 4,200 $21,042 $-3,276 -13.47 % No Compare - - % -
Cornerstone Strategy Fund (Usaa Mutual Funds Trust) Specialty & Misc -4.91 % 2008-08-29 1,900 $9,519 $-2,432 -20.34 % No Compare - - % -
Credit Suisse/ Institution -3.47 % 2008-08-29 177,684 $890,197 $-227,436 -20.34 % New Holding 177,684 100.00 % $-227,436
Diamondback Capital Management Llc Institution -3.72 % 2008-08-13 None - - - % Sold All -557,663 -100.00 % $803,035
Disciplined Growth Investors Inc Institution -0.80 % 2008-08-01 618,700 $3,099,687 $-618,700 -16.63 % Added More 29,950 5.08 % $-29,950
Dws Small Cap Index Vip (Dws Investments Vit Funds) Small-Cap Core -2.51 % 2008-08-21 3,500 $17,535 $-3,745 -17.59 % No Compare - - % -
Eaton Vance Tax-Managed Buy-Write Opportunities Fund Institution -1.70 % 2008-08-22 51,453 % No Compare - - % -
Ellington Management Group Llc Institution -4.19 % 2008-08-12 13,200 $66,132 $-18,216 -21.59 % New Holding 13,200 100.00 % $-18,216
Equity Index Fund (Tiaa Cref Institutional Mutual Funds) Specialty & Misc -2.62 % 2008-08-25 17,022 $85,280 $-18,894 -18.13 % No Compare - - % -
Federated Investors Inc Institution -4.28 % 2008-08-14 400 $2,004 $-616 -23.51 % New Holding 400 100.00 % $-616
Fidelity Advisor New Insights Fund (Fidelity Contrafund) Multi-Cap Growth -6.36 % 2008-08-28 326,801 $1,637,273 $-349,677 -17.59 % No Compare - - % -
Fidelity Contrafund (Fidelity Contrafund) Specialty & Misc -6.54 % 2008-08-28 2,758,777 $13,821,473 $-2,951,891 -17.59 % No Compare - - % -
Firelake Capital Management Llc Institution -7.89 % 2008-07-25 1,125,000 % Added More 150,000 15.38 %
Fmr Corp Institution -2.71 % 2008-09-03 3,646,675 $18,269,842 $-3,099,674 -14.50 % Sold Some -383,984 -9.52 % $326,386
Forstmannleff Llc Institution -3.17 % 2008-08-07 388,600 $1,946,886 $-408,030 -17.32 % New Holding 388,600 100.00 % $-408,030
Gagnon Securities Llc Institution -2.21 % 2008-07-29 137,700 $689,877 $-70,227 -9.23 % New Holding 137,700 100.00 % $-70,227
Galleon Management L P Institution % 2008-08-15 120,000 % Sold Some -20,095 -14.34 %
Galleon Special Opportunities Management Llc Institution -6.65 % 2008-08-14 2,000,000 $10,020,000 $-3,080,000 -23.51 % New Holding 2,000,000 100.00 % $-3,080,000
Gardner Russo And Gardner Institution 3.83 % 2008-08-25 500 $2,505 $-555 -18.13 % No Change 500 0 % -
Geode Capital Management Llc Institution -3.79 % 2008-08-14 51,332 $257,173 $-79,051 -23.51 % Added More 382 0.74 % $-588
Glynn Capital Management Llc Institution -3.33 % 2008-08-06 202,150 $1,012,772 $-236,516 -18.93 % Sold Some -1,375 -0.67 % $1,609
Goldman Sachs Group Inc Institution -4.41 % 2008-08-14 102,471 $513,380 $-157,805 -23.51 % Added More 13,183 14.76 % $-20,302
Granahan Investment Management Inc Institution % 2008-07-16 565,900 % Sold Some -560,500 -49.76 %
Growth Equity Fund (Tiaa Cref Institutional Mutual Funds) Multi-Cap Growth -3.83 % 2008-08-25 5,429 $27,199 $-6,026 -18.13 % No Compare - - % -
Gruber & Mcbaine Capital Management Llc Institution -1.21 % 2008-08-04 197,280 $988,373 $-177,552 -15.22 % No Change 197,280 0 % -
Hershey Trust Co Institution 4.39 % 2008-07-03 86,700 $434,367 $20,808 5.03 % Added More 19,000 28.06 % $4,560
Ing Investment Management Co Institution -4.20 % 2008-08-14 9,000 $45,090 $-13,860 -23.51 % Sold Some -487,900 -98.18 % $751,366
J P Morgan Chase And Co Institution -3.92 % 2008-08-12 17,153 $85,937 $-23,671 -21.59 % Sold Some -1,459 -7.83 % $2,013
Jane Street Holding Llc Institution % 2008-08-15 11,344 % Sold Some -10,540 -48.16 %
Janney Montgomery Scott Llc Institution -2.74 % 2008-08-22 38,338 % Sold Some -6,938 -15.32 %
Kbc Group Nv Institution -5.19 % 2008-08-14 13,746 $68,867 $-21,169 -23.51 % No Change 13,746 0 % -
Lehman Brothers Holdings Inc Institution -3.05 % 2008-08-13 53,893 $270,004 $-77,606 -22.32 % New Holding 53,893 100.00 % $-77,606
Lord Abbett And Co Llc Institution -3.70 % 2008-08-14 2,040,734 $10,224,077 $-3,142,730 -23.51 % Sold Some -738,397 -26.56 % $1,137,131
Mackay Shields Llc Institution -3.12 % 2008-07-09 None - - - % Sold All -34,300 -100.00 % $-15,778
Marshall Wace Llp Institution -9.93 % 2008-08-13 None - - - % Sold All -14,127 -100.00 % $20,343
Marshall Wace North America L P Institution -5.18 % 2008-08-13 None - - - % Sold All -33,692 -100.00 % $48,516
Mason Street Advisors Llc Institution -5.20 % 2008-08-14 None - - - % Sold All -504,380 -100.00 % $776,745
Merrill Lynch And Co Inc Institution -2.70 % 2008-08-07 84,660 $424,147 $-88,893 -17.32 % Added More 39,560 87.71 % $-41,538
Metropolitan Life Insurance Co Institution -4.60 % 2008-08-11 49,022 $245,600 $-68,631 -21.84 % New Holding 49,022 100.00 % $-68,631
Mfc Global Investment Management Usa Ltd Institution -3.19 % 2008-07-30 1,414 $7,084 $-1,103 -13.47 % Sold Some -2,533 -64.17 % $1,976
Mid Cap Portfolio (Variable Insurance Products Iii) Mid-Cap Core -6.90 % 2008-08-28 100 $501 $-107 -17.59 % No Compare - - % -
Morgan Stanley Institution % 2008-08-15 32,109 % New Holding 32,109 100.00 %
Needham Investment Management Llc Institution -4.12 % 2008-08-18 25,000 $125,250 $-27,250 -17.86 % New Holding 25,000 100.00 % $-27,250
Networking And Infrastructure Portfolio (Fidelity Select Portfolios) Science & Tech -3.51 % 2008-07-30 1,100 $5,511 $-858 -13.47 % No Compare - - % -
New Covenant Funds (New Covenant Funds) Mixed-Asset Target Al ... -12.53 % 2008-05-30 None - - - % Sold All -5,400 -100.00 % $6,858
Norges Bank Institution -3.32 % 2008-08-13 171,424 $858,834 $-246,851 -22.32 % Added More 40,021 30.45 % $-57,630
Northern Trust Co Of Connecticut Institution -4.27 % 2008-08-12 69,318 $347,283 $-95,659 -21.59 % New Holding 69,318 100.00 % $-95,659
Northern Trust Corp Institution -3.47 % 2008-08-13 138,392 $693,344 $-199,284 -22.32 % Added More 35,742 34.81 % $-51,468
Oppenheimer And Co Inc Institution -4.51 % 2008-08-13 100,000 $501,000 $-144,000 -22.32 % Sold Some -25,000 -20.00 % $36,000
Oppenheimer Funds Inc Institution -4.09 % 2008-08-18 400 $2,004 $-436 -17.86 % No Change 400 0 % -
Pacific Edge Investment Management Llc Institution -6.34 % 2008-08-12 520,225 $2,606,327 $-717,911 -21.59 % Sold Some -468,052 -47.36 % $645,912
Padco Advisors Ii Inc Institution -3.87 % 2008-08-14 230 $1,152 $-354 -23.51 % Added More 214 1337.50 % $-330
Parametric Portfolio Associates Institution -0.89 % 2008-08-04 88,694 $444,357 $-79,825 -15.22 % Added More 30,538 52.51 % $-27,484
Peak6 Investments L P Institution -5.25 % 2008-08-14 None - - - % Sold All -48,971 -100.00 % $75,415
Price T Rowe Associates Inc Institution -5.09 % 2008-08-14 962,810 $4,823,678 $-1,482,727 -23.51 % Added More 2,018 0.21 % $-3,108
Public Employees Retirement System Of Ohio Institution -2.96 % 2008-07-30 70,903 $355,224 $-55,304 -13.47 % Added More 60,382 573.91 % $-47,098
Rbc Dain Rauscher Inc Institution -3.68 % 2008-08-14 200 $1,002 $-308 -23.51 % No Change 200 0 % -
Renaissance Technologies Corp Institution -4.13 % 2008-08-14 23,600 $118,236 $-36,344 -23.51 % New Holding 23,600 100.00 % $-36,344
Rs Investment Management Co Llc Institution -3.86 % 2008-08-12 202,500 $1,014,525 $-279,450 -21.59 % Added More 8,150 4.19 % $-11,247
Rydex Inverse Russell 2000 Etf (Rydex Etf Trust) Specialty & Misc 2.30 % 2008-07-07 70 $351 $18 5.47 % Added More 30 75.00 % $8
Satellite Asset Management Lp Institution -5.47 % 2008-08-28 None - - - % Sold All -117,600 -100.00 % $125,832
Sc X Management Llc Institution -10.55 % 2008-08-07 13,216,047 $66,212,395 $-13,876,849 -17.32 % No Change 13,216,047 0 % -
Shell Asset Management Co Institution -2.58 % 2008-07-24 100 $501 $-11 -2.14 % New Holding 100 100.00 % $-11
Shott Capital Management Llc Institution -3.92 % 2008-07-01 142,951 $716,185 $-12,866 -1.76 % No Change 142,951 0 % -
Small Cap Growth Stock Portfolio (Northwestern Mutual Series Fund Inc) Small-Cap Growth -6.59 % 2008-08-28 290,780 $1,456,808 $-311,135 -17.59 % No Compare - - % -
Small Cap Index Fund (Valic Co I) Small-Cap Core -2.99 % 2008-08-08 6,704 $33,587 $-7,978 -19.19 % Sold Some -416 -5.84 % $495
Small Cap Portfolio (Seasons Series Trust) Small-Cap Core -3.03 % 2008-08-29 464 $2,325 $-594 -20.34 % No Compare - - % -
Small Company Growth Portfolio (Vanguard Variable Insurance Funds) Small-Cap Growth -2.07 % 2008-08-26 143,300 $717,933 $-134,702 -15.79 % No Compare - - % -
Ssga Enhanced Small Cap Fund (Ssga Funds) Small-Cap Core -0.85 % 2008-07-29 1,300 $6,513 $-663 -9.23 % No Compare - - % -
State Board Of Administration Of Florida Retirement System Institution -3.20 % 2008-07-30 28,500 $142,785 $-22,230 -13.47 % New Holding 28,500 100.00 % $-22,230
State Of Wisconsin Investment Board Institution -3.51 % 2008-08-14 48,692 $243,947 $-74,986 -23.51 % No Change 48,692 0 % -
Stg Capital Management Lp Institution -9.38 % 2008-08-07 508,990 $2,550,040 $-534,440 -17.32 % New Holding 508,990 100.00 % $-534,440
Strategic Investment Management Institution -4.74 % 2008-08-14 None - - - % Sold All -16,867 -100.00 % $25,975
Strs Ohio Institution -1.02 % 2008-07-24 0 $0 % New Holding 0 100.00 % $0
Summit Investment Partners Inc Institution -4.36 % 2008-08-14 529 $2,650 $-815 -23.51 % No Change 529 0 % -
Symmetry Peak Management Llc Institution -9.72 % 2008-08-14 1,130,970 $5,666,160 $-1,741,694 -23.51 % Added More 723,126 177.30 % $-1,113,614
T Rowe Price Small Cap Stock Fund Inc (T Rowe Price Small Cap Stock Fund Inc) Small-Cap Core -4.93 % 2008-08-27 257,700 $1,291,077 $-291,201 -18.40 % No Compare - - % -
Teachers Advisors Inc Institution -4.00 % 2008-08-14 30,198 $151,292 $-46,505 -23.51 % Added More 25,382 527.03 % $-39,088
Technical Financial Services Llc Institution -4.08 % 2008-08-13 174,436 $873,924 $-251,188 -22.32 % Added More 53,225 43.91 % $-76,644
Technology Portfolio (Fidelity Select Portfolios) Science & Tech -5.01 % 2008-07-30 164,500 $824,145 $-128,310 -13.47 % No Compare - - % -
Technology Portfolio (Variable Insurance Products Fund Iv) Science & Tech -7.61 % 2008-08-25 900 $4,509 $-999 -18.13 % No Compare - - % -
Telecommunications Portfolio (Fidelity Select Portfolios) Utility -0.47 % 2008-07-30 329,076 $1,648,671 $-256,679 -13.47 % No Compare - - % -
Tfs Market Neutral Fund (Tfs Capital Investment Trust) Specialty & Misc -2.70 % 2008-09-02 144,236 $722,622 $-168,756 -18.93 % Added More 32,325 28.88 % $-37,820
Tiaa Cref Investment Management Llc Institution -4.17 % 2008-08-14 308,217 $1,544,167 $-474,654 -23.51 % Added More 258,922 525.25 % $-398,740
Total Stock Market Index Trust (John Hancock Trust) Specialty & Misc 0.00 % 2008-09-05 2,213 $11,087 $0 0.00 % No Compare - - % -
Tracer Capital Management L P Institution -9.73 % 2008-08-14 None - - - % Sold All -1,108,652 -100.00 % $1,707,324
Trellus Management Company Llc Institution -4.73 % 2008-08-12 1,201,370 $6,018,864 $-1,657,891 -21.59 % Added More 75,100 6.66 % $-103,638
Two Sigma Investments Llc Institution -4.99 % 2008-08-14 34,400 $172,344 $-52,976 -23.51 % New Holding 34,400 100.00 % $-52,976
Ubs Oconnor Llc Institution -1.85 % 2008-08-13 783,770 $3,926,688 $-1,128,629 -22.32 % New Holding 783,770 100.00 % $-1,128,629
Ultra Russell2000 Growth Proshares (Proshares Trust) Multi-Cap Growth -4.55 % 2008-08-08 58 $291 $-69 -19.19 % No Compare - - % -
Ultra Russell2000 Value Proshares (Proshares Trust) Multi-Cap Value -0.95 % 2008-08-08 51 $256 $-61 -19.19 % No Compare - - % -
Us Bancorp De Institution -3.27 % 2008-08-14 4,273 $21,408 $-6,580 -23.51 % Added More 3,588 523.79 % $-5,526
Van Wagoner Emerging Growth Fund (Van Wagoner Funds Inc) Small-Cap Growth -7.45 % 2008-08-28 165,000 $826,650 $-176,550 -17.59 % No Compare - - % -
Van Wagoner Growth Opportunities Fund (Van Wagoner Funds Inc) Multi-Cap Growth -7.44 % 2008-08-28 37,500 $187,875 $-40,125 -17.59 % No Compare - - % -
Vanguard 500 Index Fund (Vanguard Index Funds) S&P 500 Index -3.33 % 2008-08-29 417,973 $2,094,045 $-535,005 -20.34 % No Compare - - % -
Vanguard Balanced Index Fund (Vanguard Balanced Index Funds) Mixed-Asset Target Al ... -2.46 % 2008-09-03 11,552 $57,876 $-9,819 -14.50 % No Compare - - % -
Vanguard Extended Market Index Fund (Vanguard Index Funds) Mid-Cap Core -4.35 % 2008-08-29 70,800 $354,708 $-90,624 -20.34 % No Compare - - % -
Vanguard Group Inc Institution -0.63 % 2008-08-06 13,248 $66,372 $-15,500 -18.93 % Sold Some -1,094,003 -98.80 % $1,279,984
Vanguard Institutional Total Stock Market Index Fund (Vanguard Institutional Index Funds) Specialty & Misc -2.40 % 2008-09-03 46,400 $232,464 $-39,440 -14.50 % No Compare - - % -
Vanguard Small Cap Growth Index Fund (Vanguard Index Funds) Small-Cap Growth -4.93 % 2008-08-29 253,628 $1,270,676 $-324,644 -20.34 % No Compare - - % -
Vanguard Total Stock Market Index Fund (Vanguard Index Funds) Multi-Cap Core -3.18 % 2008-08-29 273,233 $1,368,897 $-349,738 -20.34 % No Compare - - % -
Vp Developing Growth Portfolio (Mainstay Vp Series Fund Inc) Multi-Cap Growth 0.00 % 2008-09-05 89,300 $447,393 $0 0.00 % No Compare - - % -
Wireless Portfolio (Fidelity Select Portfolios) Telecommunication -3.76 % 2008-07-30 314,584 $1,576,066 $-245,376 -13.47 % No Compare - - % -
Wra Investments Llc Institution -1.73 % 2008-08-12 250,000 $1,252,500 $-345,000 -21.59 % No Change 250,000 0 % -
Zacks Investment Management Institution -4.27 % 2008-08-12 None - - - % Sold All -3,825 -100.00 % $5,279
Zebra Capital Management Llc Institution 3.62 % 2008-07-15 49,292 $246,953 $26,618 12.08 % New Holding 49,292 100.00 % $26,618
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Listed 129 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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