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Mainstay Icap Equity Fund

 
Page Created: 2008-12-01 10:31:00-08
Fund Type: SPECIALTY & MISC Report Date: 2008-09-25 Current Value: $335,622,180 Total Performance: -31.97 %
Family of: Icap Funds Inc
 
   
 

Mainstay Icap Equity Fund
Highlights

Worst Move: Mainstay Icap Equity Fund potentially lost $-9,675,068 on changes made with Baker Hughes Inc (BHI) buying shares when price went down.
Best Move: Mainstay Icap Equity Fund potentially made $-366,044 on changes made with Marathon Oil Corp (MRO) buying shares when price went up.
Good Save: Mainstay Icap Equity Fund potentially saved $5,540,594 on changes made with Covidien Ltd (COV) selling shares when price went down.
Missed Move: Mainstay Icap Equity Fund potentially missed $231,168 on changes made with Schering-Plough Corp(SGP) selling shares when price went up.
 

Mainstay Icap Equity Fund
Contact Information

51 Madison Avenue, New York Ny 10010,,
Phone: 2125767000, Fax: , Website:

Mainstay Icap Equity Fund
Symbols

ICAEX

Mainstay Icap Equity Fund
Recent Source SEC Filings

2008-09-25 http://www.sec.gov/Archives/edgar/data/932510/0001144204-08-054580.txt
2008-09-02 http://www.sec.gov/Archives/edgar/data/932510/0000950123-08-010498.txt
 

Mainstay Icap Equity 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
Ace Ltd (ACE) BE ACE Multi-Line Insuran ... 525,800 $27,473,050 $-4,074,950 -12.91 % Added More 98,350 23.00 $-762,213
Allstate Corpthe (ALL) US ALL Multi-Line Insuran ... 494,650 $12,583,896 $-9,863,321 -43.94 % No Change - - -
At And T Inc (T) US T Telephone-Integrat ... 718,409 $20,517,761 $-1,084,798 -5.02 % New Holding 718,409 100.00 $-1,084,798
Avon Products Inc (AVP) US AVP Cosmetics And Toil ... 341,450 $7,204,595 $-7,064,601 -49.50 % Sold Some -45,450 -11.74 $940,361
Baker Hughes Inc (BHI) US BHI Oil-Field Services 326,750 $11,380,703 $-9,675,068 -45.94 % New Holding 326,750 100.00 $-9,675,068
Capital One Financial Corp (COF) IT COF Super-Regional Ban ... 470,045 $16,174,248 $-7,233,993 -30.90 % New Holding 470,045 100.00 $-7,233,993
Cigna Corp (CI) US CI Life/Health Insura ... 286,000 $3,463,460 $-6,635,200 -65.70 % New Holding 286,000 100.00 $-6,635,200
Cisco Systems Inc (CSCO) US CSCO Networking Product ... 1,305,329 $21,590,142 $-9,058,983 -29.55 % Added More 114,800 9.64 $-796,712
Covidien Ltd (COV) BM COV Medical Products None - - - % Sold All -310,050 -100.00 $5,540,594
Cvscaremark Corp (CVS) US CVS Retail-Drug Store 573,600 $16,594,248 $-3,137,592 -15.90 % No Change - - -
Goldman Sachs Group Incthe (GS) US GS Finance-Invest Bnk ... 110,900 $8,759,991 $-6,266,959 -41.70 % New Holding 110,900 100.00 $-6,266,959
Honeywell International Inc (HON) US HON Diversified Manufa ... 233,118 $6,494,667 $-3,610,998 -35.73 % New Holding 233,118 100.00 $-3,610,998
Host Hotels And Resorts Inc (HST) US HST Reits-Hotels 1,058,907 $7,962,981 $-6,639,347 -45.46 % No Change - - -
Intercontinental Hotels Group Plc (IHG) DE IHG Hotels And Motels 396,489 $3,239,315 $-1,788,165 -35.56 % New Holding 396,489 100.00 $-1,788,165
Johnson And Johnson (JNJ) US JNJ Medical Products None - - - % Sold All -485,000 -100.00 $5,228,300
Marathon Oil Corp (MRO) US MRO Oil Comp-Integrate ... 569,750 $14,916,055 $-8,762,755 -37.00 % Added More 23,800 4.35 $-366,044
Masco Corp (MAS) BE MAS Bldg Prod-Wood 989,877 $9,483,022 $-8,938,589 -48.52 % No Change - - -
Morgan Stanley (MS) US MS Finance-Invest Bnk ... 397,821 $5,867,860 $-4,913,089 -45.57 % Added More 64,500 19.35 $-796,575
Newstrike Capital Inc (NWS.A) US NWS.A Capital Pools 1,827,500 % Added More 365,250 24.97
Omnicom Group Inc (OMC) US OMC Advertising Agenci ... 462,450 $13,082,711 $-5,443,037 -29.38 % No Change - - -
Procter And Gamble Co (PG) CH PG Cosmetics And Toil ... None - - - % Sold All -497,764 -100.00 $2,070,698
Schering-Plough Corp (SGP) US SGP Medical-Drugs 1,181,200 $19,855,972 $-1,984,416 -9.08 % Sold Some -137,600 -10.43 $231,168
Suntrust Banks Inc (STI) US STI Super-Regional Ban ... 455,750 $14,460,948 $-8,212,615 -36.22 % Added More 29,900 7.02 $-538,798
Target Corp (TGT) US TGT Retail-Discount 529,496 $17,875,785 $-8,715,504 -32.77 % Added More 107,050 25.34 $-1,762,043
Texas Instruments Inc (TXN) US TXN Electronic Compo-S ... 788,068 $12,270,219 $-5,611,044 -31.37 % No Change - - -
Textron Inc (TXT) US TXT Diversified Manufa ... 409,716 $6,239,975 $-7,493,706 -54.56 % No Change - - -
Tyco Electronics Ltd (TEL) BM TEL Electronic Compo-M ... 458,800 $7,561,024 $-5,445,956 -41.86 % No Change - - -
Viacom Inc (VIA) CH VIA Multimedia 896,341 $15,757,675 $-7,242,435 -31.48 % No Change - - -
Wells Fargo And Co (WFC) US WFC - 695,283 $20,086,726 $-3,636,330 -15.32 % Sold Some -105,000 -13.12 $549,150
Xto Energy Inc (XTO) US XTO Oil Comp-Explor An ... 385,072 $14,725,153 $-5,190,771 -26.06 % Added More 87,400 29.36 $-1,178,152
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Listed 30 holdings.
 

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