S Muoio Co Llc (1138996) Portfolio


Number of Companies: 70
Inflow: $71,722 K
Outflow: $-9,870 K
Net Flow: $61,852 K
2016-06-30: Recent SEC Filing
2016-03-31: Previous SEC Filing


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Mffais Overall Rank Mffais Industry Rank Company Industry Shares Action Qty Chg Close Price Mffais Flow(K) Current Value (K)
716 6 Phoenix Companies Inc (PNX) Life Insurance 0 Sold All -126,361 $ $0 $0
2633 17 Emc Corpma (EMC) Computer Hardware And Storage 400,000 Added More 360,000 $27.17 $9,781 $10,868
2883 24 Linkedin Corp - A (LNKD) Internet Media 51,238 New Holding 51,238 $189.25 $9,696 $9,696
2938 11 Starwood Hotels And Resorts (HOT) Lodging 75,000 New Holding 75,000 $73.95 $5,546 $5,546
528 1 Rite Aid Corp (RAD) Food And Drug Stores 588,408 New Holding 588,408 $7.49 $4,407 $4,407
419 14 Qlik Technologies Inc (QLIK) Application Software 147,400 New Holding 147,400 $29.58 $4,360 $4,360
2791 27 St Jude Medical Inc (STJ) Medical Devices 50,000 New Holding 50,000 $78.00 $3,900 $3,900
887 6 Electro Rent Corp (ELRC) Industrial Distribution And Rental 219,254 New Holding 219,254 $15.41 $3,378 $3,378
2432 7 Lexmark International Inc-A (LXK) Office Electronics 75,000 New Holding 75,000 $37.75 $2,831 $2,831
2786 9 Ingram Micro Inc-Cl A (IM) Consumer Elec And Applc Whslrs 130,000 Added More 80,000 $34.78 $2,782 $4,521
356 8 Xenoport Inc (XNPT) Specialty Pharma 383,763 New Holding 383,763 $7.04 $2,701 $2,701
2338 20 Examworks Group Inc (EXAM) Health Care Services 60,000 New Holding 60,000 $34.85 $2,091 $2,091
556 9 Axiall Corp (AXLL) Basic And Diversified Chemicals 60,000 New Holding 60,000 $32.61 $1,956 $1,956
152 1 Office Depot Inc (ODP) Other Spec Retail Discr 500,000 New Holding 500,000 $3.31 $1,655 $1,655
425 16 Demandware Inc (DWRE) Application Software 20,000 New Holding 20,000 $74.90 $1,498 $1,498
2983 10 Humana Inc (HUM) Managed Care 8,000 New Holding 8,000 $179.88 $1,439 $1,439
555 1 Multi-Fineline Electronix In (MFLX) Electronics Components 61,937 New Holding 61,937 $23.20 $1,436 $1,436
2793 40 Itc Holdings Corp (ITC) Utility Networks 30,000 New Holding 30,000 $46.82 $1,404 $1,404
1808 10 Skullcandy Inc (SKUL) Consumer Electronics 200,000 New Holding 200,000 $6.14 $1,228 $1,228
2216 48 Polycom Inc (PLCM) Communications Equipment 102,006 New Holding 102,006 $11.25 $1,147 $1,147
771 5 Reachlocal Inc (RLOC) Advertising And Marketing 241,100 New Holding 241,100 $4.55 $1,097 $1,097
713 27 Sciquest Inc (SQI) Application Software 60,967 New Holding 60,967 $17.66 $1,076 $1,076
2636 8 Fei Company (FEIC) Other Hardware 10,000 New Holding 10,000 $106.88 $1,068 $1,068
218 3 Starz - A (STRZA) Entertainment Content 40,753 Added More 30,000 $29.92 $897 $1,219
2482 22 Tumi Holdings Inc (TUMI) Apparel Footwear And Acc Design 23,428 New Holding 23,428 $26.74 $626 $626
845 55 Resource America Inc-Cl A (REXI) Reit 60,000 New Holding 60,000 $9.72 $583 $583
338 4 Heartware International Inc (HTWR) Medical Devices 10,000 New Holding 10,000 $57.75 $577 $577
683 4 Elizabeth Arden Inc (RDEN) Household Products 40,000 New Holding 40,000 $13.76 $550 $550
2194 92 Parkway Properties Inc (PKY) Reit 30,000 New Holding 30,000 $16.73 $501 $501
394 5 Piedmont Natural Gas Co (PNY) Utility Networks 12,000 Added More 7,000 $60.12 $420 $721
244 2 Western Refining Inc (WNR) Refining And Marketing 17,337 New Holding 17,337 $20.63 $357 $357
462 4 Ew Scripps Cothe-A (SSP) Publishing And Broadcasting 28,255 Added More 13,405 $15.84 $212 $447
1616 5 Morgans Hotel Group Co (MHGC) Lodging 97,583 New Holding 97,583 $2.14 $208 $208
112 2 Dreamworks Animation Skg-A (DWA) Entertainment Content 5,000 New Holding 5,000 $40.87 $204 $204
1128 6 Lgl Group Incthe (LGL) Electrical Components 29,400 New Holding 29,400 $3.28 $96 $96
2907 20 Dr Pepper Snapple Group Inc (DPS) Beverages 9,897 No Change 0 $96.63 $0 $956
396 1 Rollins Inc (ROL) Building Maintenance Services 7,500 No Change 0 $29.27 $0 $219
318 4 Shenandoah Telecommunication (SHEN) Telecom Carriers 18,774 No Change 0 $39.06 $0 $733
1078 15 Mercury General Corp (MCY) P And C Insurance 8,700 No Change 0 $53.16 $0 $462
3072 34 Microsoft Corp (MSFT) Infrastructure Software 30,016 No Change 0 $51.17 $0 $1,535
2604 9 Amc Networks Inc-A (AMCX) Entertainment Content 8,688 No Change 0 $60.42 $0 $524
2580 8 Discovery Communications-C (DISCK) Entertainment Content 21,214 No Change 0 $23.85 $0 $505
737 9 Tootsie Roll Inds (TR) Packaged Food 30,191 No Change 0 $38.53 $0 $1,163
2274 5 Clarcor Inc (CLC) Pollution Control Equipment 10,452 No Change 0 $60.83 $0 $635
2404 31 Agl Resources Inc (GAS) Utility Networks 15,000 No Change 0 $65.97 $0 $989
2110 6 Kar Auction Services Inc (KAR) Other Commercial Services 9,521 No Change 0 $41.74 $0 $397
2475 7 Scripps Networks Inter-Cl A (SNI) Entertainment Content 13,142 No Change 0 $62.27 $0 $818
824 14 Consolidated Communications (CNSL) Telecom Carriers 11,882 No Change 0 $27.24 $0 $323
2787 1 Genuine Parts Co (GPC) Automotive Wholesalers 16,700 No Change 0 $101.25 $0 $1,690
154 2 Nexstar Broadcasting Group-A (NXST) Publishing And Broadcasting 35,688 No Change 0 $47.58 $0 $1,698
2871 31 Ross Stores Inc (ROST) Specialty Apparel Stores 16,800 No Change 0 $56.69 $0 $952
843 7 Gamco Investors Inc-A (GBL) Investment Management 51,444 No Change 0 $32.77 $0 $1,685
2835 32 Kla-Tencor Corp (KLAC) Semiconductor Mfg 20,000 No Change 0 $73.25 $0 $1,465
246 2 Scotts Miracle-Gro Co-Cl A (SMG) Home Improvement 9,200 No Change 0 $69.91 $0 $643
3079 54 Apple Inc (AAPL) Communications Equipment 13,400 No Change 0 $95.60 $0 $1,281
801 5 Discovery Communications-A (DISCA) Entertainment Content 38,029 No Change 0 $25.23 $0 $959
2494 56 Frontier Communications Corp (FTR) Telecom Carriers 204,192 No Change 0 $4.94 $0 $1,008
1556 20 A H Belo Corp-A (AHC) Publishing And Broadcasting 80,334 Sold Some -400 $5.00 $-2 $401
1629 31 Internap Corp (INAP) Telecom Carriers 380,364 Sold Some -22,300 $2.06 $-45 $783
581 4 Viacom Inc-Class A (VIA) Entertainment Content 123,011 Sold Some -1,400 $46.42 $-64 $5,710
773 5 Waddell And Reed Financial-A (WDR) Investment Management 15,365 Sold Some -4,035 $17.22 $-69 $264
2553 27 Interxion Holding Nv (INXN) Infrastructure Software 39,051 Sold Some -2,000 $36.88 $-73 $1,440
2336 15 Fortune Brands Home And Securi (FBHS) Home Improvement 13,347 Sold Some -2,000 $57.97 $-115 $773
1850 41 Cincinnati Bell Inc (CBB) Telecom Carriers 652,131 Sold Some -86,166 $4.57 $-393 $2,980
71 3 Fairchild Semiconductor Inte (FCS) Semiconductor Devices 0 Sold All -20,000 $19.85 $-397 $0
3024 13 Time Warner Inc (TWX) Entertainment Content 63,168 Sold Some -10,000 $73.54 $-735 $4,645
1562 11 Hutchinson Tech (HTCH) Computer Hardware And Storage 16,155 Sold Some -249,188 $3.39 $-844 $54
2761 11 Viacom Inc-Class B (VIAB) Entertainment Content 119,704 Sold Some -26,000 $41.47 $-1,078 $4,964
2869 51 Baker Hughes Inc (BHI) Oil And Gas Services And Equip 0 Sold All -40,000 $45.13 $-1,805 $0
2988 6 Cablevision Systems-Ny Grp-A (CVC) Cable And Satellite 0 Sold All -121,704 $34.87 $-4,243 $0