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Emisphere Technologies Associnc (EMIS)

Industry: Drug Delivery SystemsCountry: United States
 
Number of funds
Global RankCountry RankIndustry Rank
Owned:
38
417834369
Score:
-0.30
9159--
Brand New:
5
400732549
Increased Existing:
4
4600--
No Change:
9
3402--
Reduced Existing:
11
3289--
Liquidated:
7
381131369
No Comparison Available:
2
---
Funds buying shares:
9
4387364310
Buying %:
25.00 %
8086498716
Funds not buying/selling shares:
9
---
Neutral %:
25.00 %
---
Funds selling shares:
18
354030758
Selling %:
50.00 %
312011949
   

Emisphere Technologies Associnc (EMIS) 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
Ameriprise Financial Inc Institution -10.27 % 2008-05-06 7,000 $19,950 $8,050 67.64 % No Change 7,000 0 % -
Atticus Capital Lp Institution -19.11 % 2008-05-15 2,256,600 $6,431,310 $2,978,712 86.27 % No Change 2,256,600 0 % -
Bank Of America Corp Institution -8.59 % 2008-05-12 21,100 $60,135 $24,265 67.64 % Sold Some -10 -0.04 % $-12
Bank Of New York Mellon Corp Institution % 2008-05-14 71,851 % Sold Some -32,749 -31.30 %
Barclays Global Investors Uk Holdings Ltd Institution -7.25 % 2008-04-30 669,414 $1,907,830 $890,321 87.50 % Sold Some -6,663 -0.98 % $-8,862
Bear Stearns And Co Inc Institution -8.02 % 2008-05-15 458 $1,305 $605 86.27 % Sold Some -736 -61.64 % $-972
Blackrock Investment Management Llc Institution -6.88 % 2008-04-23 4,800 $13,680 $6,240 83.87 % No Change 4,800 0 % -
California Public Employees Retirement System Institution -7.66 % 2008-04-28 116,400 $331,740 $151,320 83.87 % No Change 116,400 0 % -
Citigroup Inc Institution % 2008-05-14 35,536 % Added More 22,936 182.03 %
Clearbridge Advisors Llc Institution -10.37 % 2008-05-15 700 $1,995 $924 86.27 % No Change 700 0 % -
Credit Suisse/ Institution -11.12 % 2008-05-16 None - - - % Sold All -25,021 -100.00 % $-32,277
Dimensional Fund Advisors Inc Institution -7.82 % 2008-05-05 717,685 $2,045,402 $947,344 86.27 % Sold Some -3,275 -0.45 % $-4,323
Ferris Baker Watts Incorporated Institution -9.65 % 2008-05-12 100 $285 $115 67.64 % New Holding 100 100.00 % $115
Fmr Corp Institution % 2008-05-14 None - - - % Sold All -100 -100.00 %
Geode Capital Management Llc Institution -9.25 % 2008-05-15 28,799 $82,077 $38,015 86.27 % Sold Some -195 -0.67 % $-257
Goldman Sachs Group Inc Institution -9.30 % 2008-05-13 2,172 $6,190 $2,606 72.72 % New Holding 2,172 100.00 % $2,606
Graham Capital Management L P Institution -17.73 % 2008-05-16 None - - - % Sold All -16,822 -100.00 % $-21,700
Gsa Capital Partners Llp Institution -8.78 % 2008-05-15 None - - - % Sold All -10,447 -100.00 % $-13,790
J P Morgan Chase And Co Institution -8.35 % 2008-05-09 90,333 $257,449 $105,690 69.64 % Sold Some -95,936 -51.50 % $-112,245
Jamison Eaton And Wood Inc Institution -6.20 % 2008-05-09 12,696 $36,184 $14,854 69.64 % Sold Some -4,000 -23.95 % $-4,680
Merrill Lynch And Co Inc Institution -6.56 % 2008-05-01 None - - - % Sold All -350 -100.00 % $-462
Mhr Fund Management Llc Institution -7.95 % 2008-05-15 4,665,362 $13,296,282 $6,158,278 86.27 % No Change 4,665,362 0 % -
Millennium Management L.L.C. Institution -7.40 % 2008-05-15 68,491 $195,199 $90,408 86.27 % New Holding 68,491 100.00 % $90,408
Morgan Stanley Institution -9.61 % 2008-05-15 11,735 $33,445 $15,490 86.27 % Sold Some -205 -1.71 % $-271
Northern Trust Corp Institution -8.86 % 2008-05-15 46,744 $133,220 $61,702 86.27 % Sold Some -1,510 -3.12 % $-1,993
Oppenheimer And Co Inc Institution -8.54 % 2008-05-13 15,121 $43,095 $18,145 72.72 % Added More 4,000 35.96 % $4,800
Platinum Management (Ny) Llc Institution -5.11 % 2008-05-15 99,246 $282,851 $131,005 86.27 % No Compare - - % -
Rbc Dain Rauscher Inc Institution % 2008-05-14 600 % New Holding 600 100.00 %
Rbc Professional Trader Group Llc Institution -9.79 % 2008-05-13 200 $570 $240 72.72 % No Change 200 0 % -
Royce And Associates Llc Institution -2.89 % 2008-05-08 163,200 % No Change 163,200 0 % -
Shaw D E And Co Inc Institution -8.42 % 2008-05-15 32,298 $92,049 $42,633 86.27 % Added More 798 2.53 % $1,053
Spark Lp Institution -5.00 % 2008-05-13 None - - - % Sold All -47,800 -100.00 % $-57,360
Stark Offshore Management Llc Institution -7.07 % 2008-05-20 950,000 $2,707,500 $1,216,000 81.52 % New Holding 950,000 100.00 % $1,216,000
Two Sigma Investments Llc Institution -8.48 % 2008-05-15 None - - - % Sold All -22,300 -100.00 % $-29,436
Ubs Ag Institution -9.63 % 2008-05-13 142,545 $406,253 $171,054 72.72 % Sold Some -14,175 -9.04 % $-17,010
Us Bancorp De Institution -7.49 % 2008-05-15 4 $11 $5 86.27 % No Change 4 0 % -
Vanguard Group Inc Institution -8.57 % 2008-05-01 325,902 $928,821 $430,191 86.27 % Added More 325,144 42894.98 % $429,190
Wexford Capital Llc Institution % 2008-05-14 21,200 % No Compare - - % -
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Listed 38 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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