Telemetry Investments L L C (1537055) Portfolio


Number of Companies: 63
Inflow: $25,735 K
Outflow: $-13,593 K
Net Flow: $12,142 K
2016-03-31: Recent SEC Filing
2015-12-31: 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)
3049 6 General Electric Co (GE) Electrical Power Equipment 100,000 New Holding 100,000 $31.79 $3,179 $3,179
2786 9 Ingram Micro Inc-Cl A (IM) Consumer Elec And Applc Whslrs 83,000 New Holding 83,000 $35.91 $2,980 $2,980
229 1 Syngenta Ag (SYT) Agricultural Chemicals 30,415 New Holding 30,415 $82.82 $2,518 $2,518
2983 10 Humana Inc (HUM) Managed Care 40,300 Added More 10,000 $182.94 $1,829 $7,372
528 1 Rite Aid Corp (RAD) Food And Drug Stores 283,169 Added More 207,669 $8.15 $1,692 $2,307
2927 6 Ford Motor Co (F) Automobiles 100,000 New Holding 100,000 $13.50 $1,350 $1,350
2835 32 Kla-Tencor Corp (KLAC) Semiconductor Mfg 30,500 Added More 18,000 $72.80 $1,310 $2,220
7 1 Alere Inc (ALR) Life Science Equipment 22,507 New Holding 22,507 $50.61 $1,139 $1,139
324 4 Empire District Electric Co (EDE) Utility Networks 31,311 New Holding 31,311 $33.04 $1,034 $1,034
2393 14 Apollo Education Group Inc (APOL) Educational Services 100,907 New Holding 100,907 $8.22 $829 $829
2332 52 Globalstar Inc (GSAT) Telecom Carriers 2,566,947 Added More 452,726 $1.47 $665 $3,773
1595 7 Navistar International Corp (NAV) Commercial Vehicles 50,000 New Holding 50,000 $12.52 $626 $626
345 17 Cobalt International Energy (CIE) Exploration And Production 200,000 New Holding 200,000 $2.97 $594 $594
2633 17 Emc Corpma (EMC) Computer Hardware And Storage 52,869 Added More 20,869 $26.65 $556 $1,408
3051 57 Gilead Sciences Inc (GILD) Biotech 6,000 New Holding 6,000 $91.86 $551 $551
2982 9 Cigna Corp (CI) Managed Care 5,400 Added More 3,400 $137.24 $466 $741
256 2 Be Aerospace Inc (BEAV) Aircraft And Parts 9,900 New Holding 9,900 $46.11 $456 $456
2162 4 Macys Inc (M) Department Stores 9,300 New Holding 9,300 $44.09 $410 $410
2836 19 Snap-On Inc (SNA) Home Improvement 2,600 New Holding 2,600 $156.99 $408 $408
2468 108 Rouse Properties Inc (RSE) Reit 21,947 New Holding 21,947 $18.37 $403 $403
47 2 Qihoo 360 Technology Co (QIHU) Internet Media 5,000 New Holding 5,000 $75.55 $377 $377
507 33 Fnb Corp (FNB) Banks 25,000 New Holding 25,000 $13.01 $325 $325
1285 27 Curis Inc (CRIS) Biotech 200,000 New Holding 200,000 $1.61 $322 $322
163 3 Michael Kors Holdings Ltd (KORS) Apparel Footwear And Acc Design 3,800 New Holding 3,800 $56.95 $216 $216
2482 22 Tumi Holdings Inc (TUMI) Apparel Footwear And Acc Design 8,000 New Holding 8,000 $26.82 $214 $214
3063 12 Unitedhealth Group Inc (UNH) Managed Care 1,600 New Holding 1,600 $128.89 $206 $206
2863 35 Darden Restaurants Inc (DRI) Restaurants 3,100 New Holding 3,100 $66.30 $205 $205
774 60 First Niagara Financial Grp (FNFG) Banks 21,100 New Holding 21,100 $9.68 $204 $204
2856 20 Kinder Morgan Inc (KMI) Midstream Oil And Gas 10,000 New Holding 10,000 $17.86 $178 $178
2938 11 Starwood Hotels And Resorts (HOT) Lodging 5,000 Added More 2,000 $83.43 $166 $417
835 16 Synergy Pharmaceuticals Inc (SGYP) Specialty Pharma 95,200 Added More 38,900 $2.76 $107 $262
858 3 Ja Solar Holdings Co Ltd (JASO) Renewable Energy Equipment 22,000 Added More 11,400 $8.61 $98 $189
2404 31 Agl Resources Inc (GAS) Utility Networks 35,000 Added More 958 $65.13 $62 $2,279
2832 19 Williams Cos Inc (WMB) Midstream Oil And Gas 27,000 Added More 3,000 $16.07 $48 $433
2462 47 New Gold Inc (NGD) Precious Metal Mining 20,000 No Change 0 $3.73 $0 $74
3031 8 Pfizer Inc (PFE) Large Pharma 100,000 No Change 0 $29.63 $0 $2,964
1436 18 Spanish Broadcasting Sys-A (SBSA) Publishing And Broadcasting 75,326 No Change 0 $3.35 $0 $252
271 14 Astoria Financial Corp (AF) Banks 12,000 No Change 0 $15.84 $0 $190
1627 14 Nicholas Financial Inc (NICK) Consumer Finance 18,384 No Change 0 $10.79 $0 $198
152 1 Office Depot Inc (ODP) Other Spec Retail Discr 192,000 No Change 0 $7.10 $0 $1,363
1678 45 Orexigen Therapeutics Inc (OREX) Specialty Pharma 102,500 Sold Some -4,500 $0.56 $-2 $57
740 17 Hecla Mining Co (HL) Precious Metal Mining 50,000 Sold Some -4,145 $2.78 $-11 $139
1123 29 Denbury Resources Inc (DNR) Exploration And Production 0 Sold All -30,000 $2.22 $-66 $0
2233 47 Celldex Therapeutics Inc (CLDX) Biotech 0 Sold All -24,000 $3.78 $-90 $0
1562 11 Hutchinson Tech (HTCH) Computer Hardware And Storage 41,712 Sold Some -25,288 $3.66 $-92 $152
1795 39 Rigel Pharmaceuticals Inc (RIGL) Biotech 200,000 Sold Some -50,000 $2.08 $-104 $416
1857 40 Mitel Networks Corp (MITL) Communications Equipment 0 Sold All -15,000 $8.18 $-122 $0
227 6 Teco Energy Inc (TE) Integrated Utilities 20,000 Sold Some -5,000 $27.53 $-137 $550
2869 51 Baker Hughes Inc (BHI) Oil And Gas Services And Equip 38,000 Sold Some -4,300 $43.83 $-188 $1,665
3002 31 Dow Chemical Cothe (DOW) Basic And Diversified Chemicals 0 Sold All -4,500 $50.86 $-228 $0
2449 62 Interoil Corp (IOC) Exploration And Production 89,500 Sold Some -8,500 $31.83 $-270 $2,848
2988 6 Cablevision Systems-Ny Grp-A (CVC) Cable And Satellite 0 Sold All -8,500 $33.00 $-280 $0
763 20 Exelixis Inc (EXEL) Biotech 0 Sold All -75,000 $4.00 $-300 $0
1888 23 Entravision Communications-A (EVC) Publishing And Broadcasting 53,000 Sold Some -42,500 $7.44 $-316 $394
388 10 Hawaiian Electric Inds (HE) Integrated Utilities 25,000 Sold Some -10,000 $32.40 $-324 $810
443 3 Meredith Corp (MDP) Publishing And Broadcasting 0 Sold All -8,000 $47.50 $-380 $0
394 5 Piedmont Natural Gas Co (PNY) Utility Networks 0 Sold All -9,000 $59.83 $-538 $0
2320 7 Banco Santander Sa (SAN) Diversified Banks 0 Sold All -151,456 $4.36 $-660 $0
1861 42 Arrowhead Research Corp (ARWR) Biotech 0 Sold All -147,000 $4.82 $-708 $0
2375 11 Xpo Logistics Inc (XPO) Trucking 0 Sold All -37,000 $30.70 $-1,135 $0
127 4 Micron Technology Inc (MU) Semiconductor Devices 0 Sold All -140,000 $10.47 $-1,465 $0
3039 51 Chubb Ltd (CB) P And C Insurance 0 Sold All -17,719 $119.15 $-2,111 $0
2778 11 Bank Of America Corp (BAC) Diversified Banks 0 Sold All -300,000 $13.52 $-4,056 $0