MFFAIS - Mutual Fund Facts About Individual Stocks       

 
Click here for Free Industry Resources!

Page Feed:

 
 
Home | About | News | Terms | Contact | Help | FAQ | Funds | Institutions | Stocks | Rankings
 0  1  2  3  4  5  6  7  8  9  A  B  C  D  E  F  G  H  I  J  K  L  M  N  O  P  Q  R  S  T  U  V  W  X  Y  Z

Ceva Inc (NASDAQ:CEVA)

Page Created: 2009-01-07 04:24:00-08Last Activity: 2009-01-06Industry: Electronic Compo-SemiconCountry: United States

Ceva Inc (NASDAQ:CEVA)
Contact Information

2033 Gateway Place, Suite 150,San Jose, Ca 95110-3710, United States
Phone: 408-514-2900, Fax: 408-514-2995, Website: http://www.ceva-dsp.com

Ceva Inc (NASDAQ:CEVA)
ISIN International Securities Identification Number

ISIN(s): US1572101053,US2684841024

Ceva Inc (NASDAQ:CEVA)
CUSIP Committee on Uniform Securities Identification Procedures

CUSIP(s): 157210105

Ceva Inc (NASDAQ:CEVA)
Stock Symbols and Exchanges

Exchange Symbol Reuters Bloomberg Exchange Name MICR ACCR City Country Website
CEVA CEVA CEVA:US Nasdaq XNAS NASDAQ New York United States www.nasdaq.com
PVJA PVJA.BE PVJA:GR Zobex ZOBX ZOBEX Berlin Germany www.berlinerboerse.de

Ceva Inc (NASDAQ:CEVA)
Rankings

 
Number of funds
Global RankCountry RankIndustry Rank
Owned:
118
2497218149
Score:
-0.15
7709--
Brand New:
14
2862242659
Increased Existing:
17
3020--
No Change:
18
1920--
Reduced Existing:
25
2311--
Liquidated:
17
2694232458
No Comparison Available:
27
---
Funds buying shares:
31
3001260360
Buying %:
34.06 %
6412405976
Funds not buying/selling shares:
18
---
Neutral %:
19.78 %
---
Funds selling shares:
42
2505219250
Selling %:
46.15 %
4054208148
   

Ceva Inc (NASDAQ:CEVA)
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
Al Frank Fund (Advisors Series Trust) Specialty & Misc 0.00 % 2009-01-06 75,000 $518,250 $0 0.00 % No Compare - - % -
Granahan Investment Management Inc Institution 0.00 % 2009-01-06 136,650 $944,252 $0 0.00 % Sold Some -124,050 -47.58 % $0
Fidelity Advisor Electronics Fund (Fidelity Advisor Series Vii) Science & Tech % 2008-12-30 1,200 % Sold Some -1,200 -50.00 %
Ishares Russell 2000 Index Fund (Ishares Trust) Specialty & Misc 10.03 % 2008-12-29 324,827 $2,244,555 $298,841 15.35 % No Compare - - % -
Ishares Russell Microcap Index Fund (Ishares Trust) Specialty & Misc 10.48 % 2008-12-29 21,642 $149,546 $19,911 15.35 % No Compare - - % -
Growth Fund (Usaa Mutual Funds Trust) Multi-Cap Growth 7.56 % 2008-12-29 800 $5,528 $736 15.35 % No Compare - - % -
Fidelity Nasdaq Composite Index Fund (Fidelity Commonwealth Trust) Specialty & Misc 9.07 % 2008-12-29 700 $4,837 $644 15.35 % No Compare - - % -
Credit Suisse Institution 8.71 % 2008-12-29 11,509 $79,527 $10,588 15.35 % Sold Some -6,951 -37.65 % $-6,395
Ishares Russell 3000 Value Index Fund (Ishares Trust) Multi-Cap Value 7.13 % 2008-12-29 339 $2,342 $312 15.35 % No Compare - - % -
Ishares Russell 3000 Growth Index Fund (Ishares Trust) Multi-Cap Growth 8.70 % 2008-12-29 1,187 $8,202 $1,092 15.35 % No Compare - - % -
Ishares Russell 3000 Index Fund (Ishares Trust) Specialty & Misc 7.92 % 2008-12-29 4,406 $30,445 $4,054 15.35 % No Compare - - % -
Ishares Russell 2000 Value Index Fund (Ishares Trust) Multi-Cap Value 9.57 % 2008-12-29 36,973 $255,483 $34,015 15.35 % No Compare - - % -
Ishares Russell 2000 Growth Index Fund (Ishares Trust) Multi-Cap Growth 10.48 % 2008-12-29 99,864 $690,060 $91,875 15.35 % No Compare - - % -
California Public Employees Retirement System Institution 7.23 % 2008-12-12 360,800 $2,493,128 $-227,304 -8.35 % No Change 0 0 % -
Maxim Series Fund Inc (Maxim Series Fund Inc) Specialty & Misc 7.12 % 2008-12-10 None - - - % Sold All -75,000 -100.00 % $3,000
Small Cap Portfolio (Seasons Series Trust) Small-Cap Core -1.19 % 2008-12-08 None - - - % Sold All -1,279 -100.00 % $857
Russell 2000 Small Cap Index Portfolio (Summit Mutual Funds Inc) Small-Cap Core 6.93 % 2008-12-08 1,605 $11,091 $-1,075 -8.83 % No Compare - - % -
Zenith Portfolio (Summit Mutual Funds Inc) Specialty & Misc 5.12 % 2008-12-08 1,605 $11,091 $-1,075 -8.83 % New Holding 1,605 100.00 % $-1,075
Wisdomtree Smallcap Earnings Fund (Wisdomtree Trust) Small-Cap Core 15.91 % 2008-12-05 150 $1,037 $-189 -15.42 % No Compare - - % -
Laudus Rosenberg International Small Capitalization Fund (Laudus Trust) Small-Cap Core 23.03 % 2008-12-04 95,354 $658,896 $-120,146 -15.42 % No Compare - - % -
International Growth Fund (Nicholas Applegate Institutional Funds) Multi-Cap Growth 11.41 % 2008-12-04 40,200 $277,782 $-50,652 -15.42 % New Holding 40,200 100.00 % $-50,652
Growth Equity Fund (Tiaa Cref Institutional Mutual Funds) Multi-Cap Growth 12.72 % 2008-12-04 None - - - % Sold All -3,634 -100.00 % $4,579
Equity Index Fund (Tiaa Cref Institutional Mutual Funds) Specialty & Misc 11.72 % 2008-12-04 1,547 $10,690 $-1,949 -15.42 % Sold Some -3,895 -71.57 % $4,908
Laudus Rosenberg International Discovery Fund (Laudus Trust) Global Flex Port 19.62 % 2008-12-04 50,470 $348,748 $-63,592 -15.42 % No Compare - - % -
Mfc Global Investment Management Usa Ltd Institution 38.45 % 2008-12-03 None - - - % Sold All -11,502 -100.00 % $-2,185
Vanguard Structured Broad Market (Vanguard Quantitative Funds) Multi-Cap Core 11.74 % 2008-12-03 2,487 $17,185 $473 2.82 % New Holding 2,487 100.00 % $473
Vanguard Total Stock Market Index Fund (Vanguard Index Funds) Multi-Cap Core 4.96 % 2008-11-28 None - - - % Sold All -124,277 -100.00 % $59,653
Westcore Growth Fund (Westcore Trust) Multi-Cap Core 5.59 % 2008-11-28 1,574 $10,876 $-756 -6.49 % Added More 1,547 5729.62 % $-743
Biotechnology Fund (Rydex Variable Trust) Health/Biotech 12.64 % 2008-11-26 220 $1,520 $-15 -1.00 % No Compare - - % -
Dws Small Cap Index Vip (Dws Investments Vit Funds) Small-Cap Core 14.77 % 2008-11-26 4,800 $33,168 $-336 -1.00 % No Compare - - % -
Balanced Portfolio (Vanguard Variable Insurance Funds) Flexible Portfolio 14.27 % 2008-11-26 196,100 $1,355,051 $-13,727 -1.00 % New Holding 196,100 100.00 % $-13,727
Small Company Growth Portfolio (Vanguard Variable Insurance Funds) Small-Cap Growth 13.07 % 2008-11-26 196,100 $1,355,051 $-13,727 -1.00 % No Compare - - % -
Eqalliancebernstein Value Portfolio (Eq Advisors Trust) Multi-Cap Value 12.55 % 2008-11-26 730 $5,044 $-51 -1.00 % No Change 0 0 % -
Pacific Select Fund (Pacific Select Fund) Pacific Region 10.39 % 2008-11-26 12,500 $86,375 $-875 -1.00 % No Change 0 0 % -
Stock Index Account (Tiaa Separate Account Va 1) Specialty & Misc 9.75 % 2008-11-25 1,230 $8,499 $-86 -1.00 % No Compare - - % -
Stock Index Fund (Tiaa Cref Life Fund) Specialty & Misc 9.79 % 2008-11-25 None - - - % Sold All -234 -100.00 % $16
Shaw D E And Co Inc Institution 23.66 % 2008-11-24 46,708 $322,752 $67,727 26.55 % New Holding 46,708 100.00 % $67,727
Allianz Global Investors Of America L P Institution 32.89 % 2008-11-20 None - - - % Sold All -142,037 -100.00 % $-164,763
Money Market Fund (Ge Investment Funds Inc) Specialty & Misc 25.76 % 2008-11-20 4,407 $30,452 $5,112 20.17 % No Compare - - % -
Goldman Sachs Group Inc Institution 10.95 % 2008-11-19 151,342 $1,045,773 $122,587 13.27 % Added More 135,685 866.60 % $109,905
Disciplined Growth Investors Inc Institution 11.87 % 2008-11-17 578,469 $3,997,221 $462,775 13.09 % Sold Some -46,425 -7.42 % $-37,140
Us Bancorp De Institution 5.19 % 2008-11-17 1,644 $11,360 $1,315 13.09 % No Change 0 0 % -
Millennium Management Llc Institution 9.99 % 2008-11-17 None - - - % Sold All -26,047 -100.00 % $-20,838
Driehaus Capital Management Llc Institution 12.48 % 2008-11-14 184,787 $1,276,878 $147,830 13.09 % New Holding 184,787 100.00 % $147,830
Tiaa Cref Investment Management Llc Institution 8.39 % 2008-11-14 122,665 $847,615 $98,132 13.09 % Sold Some -7,907 -6.05 % $-6,326
Weiss Multi-Strategy Advisers Llc Institution 9.88 % 2008-11-14 None - - - % Sold All -39,932 -100.00 % $-31,946
Technical Financial Services Llc Institution 14.36 % 2008-11-14 None - - - % Sold All -110,626 -100.00 % $-88,501
American International Group Inc Institution 8.62 % 2008-11-14 18,273 $126,266 $14,618 13.09 % Added More 35 0.19 % $28
Ctc Fund Management Llc Institution 12.10 % 2008-11-14 800 $5,528 $640 13.09 % No Compare - - % -
Zebra Capital Management Llc Institution 13.92 % 2008-11-14 175 $1,209 $140 13.09 % Sold Some -390 -69.02 % $-312
Morgan Stanley Institution 8.99 % 2008-11-14 79,649 $550,375 $63,719 13.09 % Sold Some -106,003 -57.09 % $-84,802
Citadel L P Institution 12.22 % 2008-11-14 81,330 $561,990 $65,064 13.09 % Sold Some -65,930 -44.77 % $-52,744
Renaissance Technologies Corp Institution 11.31 % 2008-11-14 926,200 $6,400,042 $740,960 13.09 % Added More 50,200 5.73 % $40,160
Marxe Austin W And Greenhouse David M Institution 7.15 % 2008-11-14 2,395,699 $16,554,280 $1,916,559 13.09 % Sold Some -79,600 -3.21 % $-63,680
Commonwealth Of Pennsylvania Public School Empls Retrmt Sys Institution 9.19 % 2008-11-14 69,990 $483,631 $55,992 13.09 % No Compare - - % -
Whitman Capital Inc Institution 19.03 % 2008-11-14 904,974 $6,253,370 $723,979 13.09 % Added More 96,792 11.97 % $77,434
Bridgeway Capital Management Inc Institution 8.04 % 2008-11-14 408,500 $2,822,735 $326,800 13.09 % Added More 123,500 43.33 % $98,800
Teachers Advisors Inc Institution 8.86 % 2008-11-14 13,562 $93,713 $10,850 13.09 % Added More 940 7.44 % $752
Two Sigma Investments Llc Institution 10.18 % 2008-11-14 None - - - % Sold All -44,100 -100.00 % $-35,280
Geode Capital Management Llc Institution 7.31 % 2008-11-14 36,681 $253,466 $29,345 13.09 % Sold Some -1,983 -5.12 % $-1,586
Mathematica Capital Management Llc Institution 15.14 % 2008-11-14 41 $283 $33 13.09 % Sold Some -557 -93.14 % $-446
Barclays Plc Institution 13.35 % 2008-11-14 9,461 $65,376 $7,569 13.09 % Sold Some -579 -5.76 % $-463
Fmr Corp Institution 10.10 % 2008-11-14 122,400 $845,784 $97,920 13.09 % New Holding 122,400 100.00 % $97,920
Oberweis Asset Management Inc Institution 9.83 % 2008-11-14 107,400 $742,134 $85,920 13.09 % Added More 5,200 5.08 % $4,160
Citigroup Inc Institution 10.54 % 2008-11-14 None - - - % Sold All -16,647 -100.00 % $-13,318
Axa Institution 9.55 % 2008-11-14 841,402 $5,814,088 $673,122 13.09 % Sold Some -85,261 -9.20 % $-68,209
Summit Investment Partners Inc Institution 11.30 % 2008-11-13 1,605 $11,091 $417 3.90 % New Holding 1,605 100.00 % $417
Merrill Lynch And Co Inc Institution 9.78 % 2008-11-13 None - - - % Sold All -19,032 -100.00 % $-4,948
Northern Trust Co Of Connecticut Institution 11.50 % 2008-11-13 None - - - % Sold All -83,000 -100.00 % $-21,580
Gartmore Mutual Fund Capital Trust Institution 11.40 % 2008-11-13 14,100 $97,431 $3,666 3.90 % No Compare - - % -
Spark Lp Institution 13.84 % 2008-11-13 None - - - % Sold All -46,200 -100.00 % $-12,012
Northern Trust Corp Institution 10.39 % 2008-11-13 133,793 $924,510 $34,786 3.90 % Added More 92,930 227.41 % $24,162
Ubs Ag Institution 14.13 % 2008-11-13 204 $1,410 $53 3.90 % Sold Some -50,105 -99.59 % $-13,027
Peninsula Capital Management Lp Institution 14.47 % 2008-11-13 324,992 $2,245,695 $84,498 3.90 % Sold Some -219,433 -40.30 % $-57,053
Amvescap Plc Institution 10.87 % 2008-11-13 25,100 $173,441 $6,526 3.90 % Sold Some -4,320 -14.68 % $-1,123
New York Life Investment Management Llc Institution 11.59 % 2008-11-12 5,614 $38,793 $1,460 3.90 % Sold Some -4,746 -45.81 % $-1,234
Lazard Asset Management Llc Institution 13.62 % 2008-11-12 191 $1,320 $50 3.90 % New Holding 191 100.00 % $50
Padco Advisors Ii Inc Institution 11.62 % 2008-11-12 419 $2,895 $109 3.90 % Added More 329 365.55 % $86
Rima Management Llc Institution 25.59 % 2008-11-12 967,485 $6,685,321 $251,546 3.90 % Added More 26,610 2.82 % $6,919
General Motors Investment Management Corp Institution 14.60 % 2008-11-12 12,776 $88,282 $3,322 3.90 % Sold Some -4,724 -26.99 % $-1,228
Royce And Associates Llc Institution 15.62 % 2008-11-12 2,445,500 $16,898,405 $635,830 3.90 % No Change 0 0 % -
Barclays Global Investors Uk Holdings Ltd Institution 11.13 % 2008-11-12 1,023,903 $7,075,170 $266,215 3.90 % Added More 177,428 20.96 % $46,131
Globeflex Capital L P Institution 14.79 % 2008-11-12 203,677 $1,407,408 $52,956 3.90 % Added More 138,377 211.90 % $35,978
Padco Advisors Inc Institution 12.71 % 2008-11-12 1,070 $7,394 $278 3.90 % New Holding 1,070 100.00 % $278
Proshare Advisors Llc Institution 8.73 % 2008-11-12 5,418 $37,438 $1,409 3.90 % New Holding 5,418 100.00 % $1,409
Al Frank Asset Management Inc Institution 14.20 % 2008-11-12 190,539 $1,316,624 $49,540 3.90 % Sold Some -10,470 -5.20 % $-2,722
Regions Financial Corp Institution 3.04 % 2008-11-10 15,725 $108,660 $-18,713 -14.69 % New Holding 15,725 100.00 % $-18,713
Stg Capital Management Lp Institution 3.79 % 2008-11-10 554,331 $3,830,427 $-659,654 -14.69 % Added More 20,334 3.80 % $-24,197
Ameriprise Financial Inc Institution 3.36 % 2008-11-10 342 $2,363 $-407 -14.69 % Sold Some -93,564 -99.63 % $111,341
Clover Capital Management Inc Institution 0.74 % 2008-11-07 17,700 $122,307 $-28,497 -18.89 % No Change 0 0 % -
Schwab Charles Investment Management Inc Institution 3.65 % 2008-11-06 433 $2,992 $-654 -17.93 % No Change 0 0 % -
Vanguard Group Inc Institution 3.80 % 2008-11-06 402,239 $2,779,471 $-607,381 -17.93 % Added More 400,795 27755.88 % $-605,200
Metropolitan Life Insurance Co Institution 3.72 % 2008-11-06 19,659 $135,844 $-29,685 -17.93 % No Change 0 0 % -
Ing Investment Management Co Institution -0.89 % 2008-11-05 11,100 $76,701 $-19,758 -20.48 % Added More 3,500 46.05 % $-6,230
Turner Investment Partners Inc Institution -2.51 % 2008-11-05 129,979 $898,155 $-231,363 -20.48 % No Change 0 0 % -
Sterling Johnston Capital Management Lp Institution -0.72 % 2008-11-05 124,600 $860,986 $-221,788 -20.48 % New Holding 124,600 100.00 % $-221,788
Transamerica Investment Management Llc Institution -6.88 % 2008-11-04 None - - - % Sold All -33,000 -100.00 % $60,060
Strs Ohio Institution -2.92 % 2008-11-03 69,666 $481,392 $-110,769 -18.70 % Sold Some -148,734 -68.10 % $236,487
Russell Frank Co Institution -2.65 % 2008-11-03 79 $546 $-126 -18.70 % Sold Some -6,706 -98.83 % $10,663
Prudential Financial Inc Institution -2.40 % 2008-11-03 15,000 $103,650 $-23,850 -18.70 % No Change 0 0 % -
Electronics Portfolio (Fidelity Select Portfolios) Science & Tech -4.13 % 2008-10-31 121,200 $837,492 $-192,708 -18.70 % No Change 0 0 % -
Bank Of New York Mellon Corp Institution -3.04 % 2008-10-31 68,812 $475,491 $-109,411 -18.70 % Added More 4,984 7.80 % $-7,925
Blackrock Group Ltd Institution 7.20 % 2008-10-30 5,159 $35,649 $-7,687 -17.73 % No Change 0 0 % -
Dimensional Fund Advisors Inc Institution -0.81 % 2008-10-30 1,285,307 $8,881,471 $-1,915,107 -17.73 % Sold Some -4,147 -0.32 % $6,179
Blackrock Investment Management Llc Institution 0.34 % 2008-10-30 55,603 $384,217 $-82,848 -17.73 % Sold Some -1,700 -2.96 % $2,533
International Value Series (Dfa Investment Trust Co) Multi-Cap Value -0.43 % 2008-10-30 393,013 $2,715,720 $-585,589 -17.73 % No Compare - - % -
Small Cap Index Fund (Valic Co I) Small-Cap Core -0.11 % 2008-10-30 16,959 $117,187 $-25,269 -17.73 % New Holding 16,959 100.00 % $-25,269
International Core Equity Portfolio (Dfa Investment Dimensions Group Inc) International Small-M ... -0.39 % 2008-10-30 28,901 $199,706 $-43,062 -17.73 % No Change 0 0 % -
Va Large Value Portfolio (Dfa Investment Dimensions Group Inc) Large-Cap Value 0.71 % 2008-10-30 33,915 $234,353 $-50,533 -17.73 % No Compare - - % -
Va International Value Portfolio (Dfa Investment Dimensions Group Inc) Multi-Cap Value -0.58 % 2008-10-30 7,082 $48,937 $-10,552 -17.73 % No Change 0 0 % -
Allied Irish Banks Plc Institution -24.26 % 2008-10-29 121 $836 $-54 -6.11 % No Change 0 0 % -
Oxford Asset Management Institution 6.33 % 2008-10-28 None - - - % Sold All -14,700 -100.00 % $441
Public Employees Retirement System Of Ohio Institution 11.27 % 2008-10-27 27,301 $188,650 $9,009 5.01 % No Change 0 0 % -
Public Employees Retirement Association Of Colorado Institution % 2008-10-14 20,800 % No Change 0 0 % -
Powershares Zacks Small Cap Portfolio (Powershares Exchange Traded Fund Trust) Small-Cap Core -22.92 % 2008-09-29 171 $1,182 $-286 -19.46 % No Compare - - % -
Special Growth Fund (Russell Investment Co) Small-Cap Core -28.96 % 2008-09-26 3,800 $26,258 $-8,094 -23.56 % No Change 0 0 % -
Global Small Cap Fund (Old Westbury Funds Inc) Global Small/Mid-Cap ... -25.49 % 2008-09-25 4,300 $29,713 $-7,052 -19.18 % No Compare - - % -
Peninsula Capital Management Inc Institution -46.46 % 2008-08-14 415,072 $2,868,148 $-1,199,558 -29.48 % No Compare - - % -
 0  1  2  3  4  5  6  7  8  9  A  B  C  D  E  F  G  H  I  J  K  L  M  N  O  P  Q  R  S  T  U  V  W  X  Y  Z
Listed 118 holdings.
 

Interested in linking to the page? You can with proper credit, just use the code below:
or for RSS updates:
   

Ceva Inc (NASDAQ:CEVA) on Google Ceva Inc (NASDAQ:CEVA) on Yahoo
 
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
Information is provided 'as is' and solely for informational purposes, not for trading purposes or advice, and may be inaccurate!
Note: For security reasons, only (A-Z,a-z,0-9,space,period,colon,comma,forward slash,at) can be inputted - all others are stripped automatically!
Copyright © 2007 All rights reserved. Please see our Terms of Use.