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Astonabn Amro Growth Fund

 
Page Created: 2008-12-01 09:55:00-08
Fund Type: MULTI-CAP GROWTH Report Date: 2008-09-26 Current Value: $137,771,631 Total Performance: -24.89 %
Family of: Aston Funds
 
   
 

Astonabn Amro Growth Fund
Highlights

Worst Move: Astonabn Amro Growth Fund potentially lost $-2,360,578 on changes made with Johnson Controls Inc (JCI) buying shares when price went down.
Best Move: Astonabn Amro Growth Fund potentially made $-13,090 on changes made with Gilead Sciences Inc (GILD) buying shares when price went up.
Good Save: Astonabn Amro Growth Fund potentially saved $1,133,418 on changes made with Devon Energy Corp (DVN) selling shares when price went down.
Missed Move: Astonabn Amro Growth Fund potentially missed $13,272 on changes made with Schering-Plough Corp(SGP) selling shares when price went up.
 

Astonabn Amro Growth Fund
Contact Information

120 N. Lasalle Street, 25th Floor, Chicago Il 60602,,
Phone: 3122681400, Fax: , Website:

Astonabn Amro Growth Fund
Symbols

CCGCX
CCGRX
CHTIX
CTGIX

Astonabn Amro Growth Fund
Recent Source SEC Filings

2008-09-26 http://www.sec.gov/Archives/edgar/data/912036/0000935069-08-002348.txt
2008-07-01 http://www.sec.gov/Archives/edgar/data/912036/0000935069-08-001570.txt
 

Astonabn Amro Growth Fund
Holding and Details

Click on column headings to sort!
Stock Country Symbol Industry Current Shares Current Value Value Chng. Return Activity Shares Chng. Shares Chg.% Results
Abbott Laboratories (ABT) US ABT Medical-Drugs 193,700 $10,147,943 $-1,357,837 -11.80 % Sold Some -18,400 -8.67 $128,984
Allergan Incunited States (AGN) US AGN Medical-Drugs 164,200 $6,187,056 $-2,891,562 -31.85 % Sold Some -16,900 -9.33 $297,609
Apple Inc (AAPL) US AAPL Computers 54,200 $5,022,714 $-1,927,894 -27.73 % Sold Some -18,600 -25.54 $661,602
Costco Wholesale Corp (COST) US COST Retail-Discount 83,300 $4,287,451 $-1,234,506 -22.35 % Sold Some -53,500 -39.10 $792,870
Cvscaremark Corp (CVS) US CVS Retail-Drug Store 276,600 $8,002,038 $-1,673,430 -17.29 % Sold Some -30,100 -9.81 $182,105
Devon Energy Corp (DVN) US DVN Oil Comp-Explor An ... 44,900 $3,248,066 $-1,186,258 -26.75 % Sold Some -42,900 -48.86 $1,133,418
Electronic Arts Inc (ERTS) US ERTS Entertainment Soft ... 168,600 $3,213,516 $-3,468,102 -51.90 % Added More 31,800 23.24 $-654,126
Emerson Electric Co (EMR) US EMR Electric Products- ... 167,200 $6,000,808 $-907,896 -13.14 % Sold Some -44,500 -21.02 $241,635
Gilead Sciences Inc (GILD) US GILD Therapeutics 163,000 $7,300,770 $-627,550 -7.91 % Added More 3,400 2.13 $-13,090
Halliburton Co (HAL) US HAL Oil-Field Services 248,500 $4,373,600 $-4,075,400 -48.23 % Sold Some -26,400 -9.60 $432,960
Hewlett-Packard Co (HPQ) US HPQ Computers 190,900 $6,734,952 $-2,391,977 -26.20 % Sold Some -49,800 -20.68 $623,994
Johnson Controls Inc (JCI) FR JCI Auto/Trk Prts And ... 175,900 $3,106,394 $-2,360,578 -43.17 % New Holding 175,900 100.00 $-2,360,578
Juniper Networks Inc (JNPR) US JNPR Networking Product ... 314,600 $5,467,748 $-1,774,344 -24.50 % Added More 39,800 14.48 $-224,472
Mcdonalds Corp (MCD) US MCD Retail-Restaurants 163,800 $9,623,250 $-728,910 -7.04 % Sold Some -15,800 -8.79 $70,310
Occidental Petroleum Corp (OXY) US OXY Oil Comp-Explor An ... 76,600 $4,147,124 $-1,776,354 -29.98 % Sold Some -37,200 -32.68 $862,668
Pepsico Incnc (PEP) US PEP Beverages-Non-Alco ... 146,200 $8,289,540 $-2,194,462 -20.93 % Sold Some -15,900 -9.80 $238,659
Procter And Gamble Co (PG) CH PG Cosmetics And Toil ... 178,100 $11,460,735 $-799,669 -6.52 % Sold Some -15,500 -8.00 $69,595
Qualcomm Inc (QCOM) US QCOM Wireless Equipment 259,000 $8,694,630 $-3,177,930 -26.76 % Sold Some -53,100 -17.01 $651,537
Research In Motion Ltd (RIMM) CA RIMM Computers 74,500 $3,164,015 $-2,107,605 -39.98 % Sold Some -30,600 -29.11 $865,674
Schering-Plough Corp (SGP) US SGP Medical-Drugs 416,100 $6,994,641 $-699,048 -9.08 % Sold Some -7,900 -1.86 $13,272
Schlumberger Ltd (SLB) AN SLB Oil-Field Services 127,600 $6,474,424 $-4,503,004 -41.02 % Sold Some -30,100 -19.08 $1,062,229
Stryker Corp (SYK) US SYK Medical Products 149,800 $5,830,216 $-3,803,422 -39.48 % Sold Some -16,200 -9.75 $411,318
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Listed 22 holdings.
 

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