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Focus Growth And Income Portfolio

 
Page Created: 2008-12-01 10:12:00-08
Fund Type: MULTI-CAP GROWTH Report Date: 2008-08-29 Current Value: $34,907,863 Total Performance: -36.65 %
Family of: Seasons Series Trust
 
   
 

Focus Growth And Income Portfolio
Highlights

Worst Move: Focus Growth And Income Portfolio potentially lost $-1,300,067 on changes made with Freeport-Mcmoran Copper And Gold Inc (FCX) buying shares when price went down.
Best Move: Focus Growth And Income Portfolio potentially made $-67,852 on changes made with General Dynamics Corp (GD) buying shares when price went up.
Good Save: Focus Growth And Income Portfolio potentially saved $1,073,180 on changes made with Crown Castle International Corp (CCI) selling shares when price went down.
Missed Move: Focus Growth And Income Portfolio potentially missed $-36,000 on changes made with Anheuser-Busch Cos Inc(BUD) selling shares when price went up.
 

Focus Growth And Income Portfolio
Contact Information

1 Sunamerica Center, Aig Sunamerica,Los Angeles Ca 90067-6022,
Phone: 800-445-7862, Fax: , Website:

Focus Growth And Income Portfolio
Symbols

Focus Growth And Income Portfolio
Recent Source SEC Filings

2008-08-29 http://www.sec.gov/Archives/edgar/data/1003239/0001104659-08-056145.txt
2008-06-06 http://www.sec.gov/Archives/edgar/data/1003239/0001104659-08-038480.txt
 

Focus Growth And Income Portfolio
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
Anheuser-Busch Cos Inc (BUD) US BUD Brewery None - - - % Sold All -50,000 -100.00 $-36,000
Apple Inc (AAPL) US AAPL Computers 12,748 $1,181,357 $-979,811 -45.33 % New Holding 12,748 100.00 $-979,811
At And T Inc (T) US T Telephone-Integrat ... 52,600 $1,502,256 $-180,418 -10.72 % No Change - - -
Bank Of America Corp (BAC) US BAC Super-Regional Ban ... 60,000 $975,000 $-893,400 -47.81 % No Change - - -
Chevron Corp (CVX) BE CVX Oil Comp-Integrate ... 20,000 $1,580,200 $-146,200 -8.46 % New Holding 20,000 100.00 $-146,200
Conocophillips (COP) US COP Oil Comp-Integrate ... 20,000 $1,050,400 $-599,800 -36.34 % Sold Some -10,000 -33.33 $299,900
Crown Castle International Corp (CCI) US CCI Wireless Equipment 44,100 $620,487 $-1,028,853 -62.37 % Sold Some -46,000 -51.05 $1,073,180
Dell Inc (DELL) US DELL Computers 137,500 $1,535,875 $-1,452,000 -48.59 % Sold Some -25,200 -15.48 $266,112
Eclipsys Corp (ECLP) US ECLP - 111,377 $1,461,266 $-1,023,555 -41.19 % No Change - - -
Exxon Mobil Corp (XOM) US XOM Oil Comp-Integrate ... 23,400 $1,875,510 $3,276 0.17 % Sold Some -27,600 -54.11 $-3,864
Freeport-Mcmoran Copper And Gold ... (FCX) US FCX Metal-Diversified 19,900 $477,401 $-1,300,067 -73.14 % New Holding 19,900 100.00 $-1,300,067
Genentech Inc (DNA) US DNA Medical-Biomedical ... None - - - % Sold All -30,996 -100.00 $686,561
General Dynamics Corp (GD) US GD Aerospace/Defense 27,910 $1,442,110 $-1,133,983 -44.01 % Added More 1,670 6.36 $-67,852
General Electric Co (GE) US GE Diversified Manufa ... 70,000 $1,201,900 $-765,100 -38.89 % No Change - - -
Google Inc (GOOG) US GOOG Web Portals/Isp 4,257 $1,247,131 $-725,095 -36.76 % Sold Some -1,072 -20.11 $182,594
Huron Consulting Group Inc (HURN) US HURN Consulting Service ... 54,191 $2,823,351 $-670,885 -19.19 % New Holding 54,191 100.00 $-670,885
Johnson And Johnson (JNJ) US JNJ Medical Products 35,000 $2,050,300 $-414,750 -16.82 % No Change - - -
Jpmorgan Chase And Co (JPM) US JPM Finance-Invest Bnk ... None - - - % Sold All -50,000 -100.00 $341,500
Kraft Foods Inc (KFT) US KFT Food-Misc/Diversif ... None - - - % Sold All -60,000 -100.00 $258,000
Las Vegas Sands Corp (LVS) US LVS Casino Hotels 30,400 $157,168 $-1,284,096 -89.09 % Sold Some -14,768 -32.69 $623,800
Level 3 Communications Inc (LVLT) US LVLT Telephone-Integrat ... 752,500 $707,350 $-1,873,725 -72.59 % No Change - - -
Lockheed Martin Corp (LMT) US LMT Aerospace/Defense 22,500 $1,734,975 $-884,925 -33.77 % Sold Some -6,013 -21.08 $236,491
Mastercard Inc (MA) US MA Commercial Serv-Fi ... 8,195 $1,190,734 $-796,964 -40.09 % Added More 4,468 119.88 $-434,513
Mcdonalds Corp (MCD) US MCD Retail-Restaurants 41,656 $2,447,290 $-135,382 -5.24 % Sold Some -11,821 -22.10 $38,418
Microsoft Corp (MSFT) US MSFT Applications Softw ... 70,000 $1,415,400 $-494,900 -25.90 % New Holding 70,000 100.00 $-494,900
Monsanto Co (MON) US MON Agricultural Chemi ... 20,597 $1,631,282 $-721,925 -30.67 % Sold Some -2,789 -11.92 $97,754
Morgan Stanley (MS) US MS Finance-Invest Bnk ... 40,000 $590,000 $-1,043,200 -63.87 % New Holding 40,000 100.00 $-1,043,200
Newstrike Capital Inc (NWS.A) US NWS.A Capital Pools 100,000 % Added More 40,000 66.66
Philip Morris International Inc (PM) US PM Tobacco 45,000 $1,897,200 $-519,300 -21.48 % New Holding 45,000 100.00 $-519,300
Transocean Inc (RIG) KY RIG Oil-Field Services 11,914 $796,808 $-718,652 -47.42 % Added More 3,047 34.36 $-183,795
Unitedhealth Group Inc (UNH) US UNH Medical-Hmo None - - - % Sold All -17,566 -100.00 $165,823
Wellpoint Inc (WLP) US WLP Medical-Hmo None - - - % Sold All -21,600 -100.00 $371,304
Xto Energy Inc (XTO) US XTO Oil Comp-Explor An ... 34,391 $1,315,112 $-418,538 -24.14 % New Holding 34,391 100.00 $-418,538
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Listed 33 holdings.
 

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