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The Masters Select Focused Opportunities Fund

 
Page Created: 2008-12-01 10:49:00-08
Fund Type: SPECIALTY & MISC Report Date: 2008-11-24 Current Value: $44,182,513 Total Performance: 18.60 %
Family of: Masters Select Funds Trust
 
   
 

The Masters Select Focused Opportunities Fund
Highlights

Worst Move: The Masters Select Focused Opportunities Fund potentially lost $84,800 on changes made with Societe Generale (SCGLF.PK) buying shares when price went down.
Best Move: The Masters Select Focused Opportunities Fund potentially made $170,630 on changes made with Intercontinentalexchange Inc (ICE) buying shares when price went up.
Good Save: The Masters Select Focused Opportunities Fund potentially saved $-6,402 on changes made with Las Vegas Sands Corp (LVS) selling shares when price went down.
Missed Move: The Masters Select Focused Opportunities Fund potentially missed $-374,220 on changes made with American Express Co(AXP) selling shares when price went up.
 

The Masters Select Focused Opportunities Fund
Contact Information

2020 E. Financial Way, Suite 100,Glendora Ca 91741,
Phone: 6268521033, Fax: , Website:

The Masters Select Focused Opportunities Fund
Symbols

MSFOX

The Masters Select Focused Opportunities Fund
Recent Source SEC Filings

2008-11-24 http://www.sec.gov/Archives/edgar/data/1020425/0000894189-08-003683.txt
2008-08-27 http://www.sec.gov/Archives/edgar/data/1020425/0001144204-08-050074.txt
 

The Masters Select Focused Opportunities 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
Allergan Incunited States (AGN) US AGN Medical-Drugs 83,100 $3,131,208 $507,741 19.35 % Sold Some -34,900 -29.57 $-213,239
Amazoncom Inc (AMZN) US AMZN E-Commerce/Product ... 50,900 $2,173,430 $245,847 12.75 % Sold Some -14,100 -21.69 $-68,103
American Express Co (AXP) US AXP Finance-Credit Car ... 184,000 $4,289,040 $850,080 24.71 % Sold Some -81,000 -30.56 $-374,220
American International Group Inc (AIG) US AIG Multi-Line Insuran ... 99,300 $199,593 $40,713 25.62 % No Change - - -
Bank Of New York Mellon Corpthe (BK) US BK - 112,189 $3,389,230 $490,266 16.91 % No Change - - -
Canadian Natural Resources Ltd (CNQ) CA CNQ Oil Comp-Explor An ... 60,500 $2,501,675 $529,980 26.87 % Sold Some -20,500 -25.30 $-179,580
Eog Resources Inc (EOG) US EOG Oil Comp-Explor An ... 24,300 $2,065,986 $250,533 13.80 % No Change - - -
Fortis Inc (FRTSF.PK) CA FRTSF.PK Electric-Integrate ... None - - - % Sold All -251,384 -100.00 $-218,704
Google Inc (GOOG) US GOOG Web Portals/Isp 9,400 $2,753,824 $286,982 11.63 % Sold Some -2,600 -21.66 $-79,378
Intercontinentalexchange Inc (ICE) BE ICE Finance-Other Serv ... 42,300 $3,113,280 $638,730 25.81 % Added More 11,300 36.45 $170,630
Japan Tobacco Inc (JAPAF.PK) JP JAPAF.PK Tobacco 891 $2,717,550 $0 0.00 % No Change - - -
Jpmorgan Chase And Co (JPM) US JPM Finance-Invest Bnk ... 103,600 $3,279,976 $926,184 39.34 % No Change - - -
Las Vegas Sands Corp (LVS) US LVS Casino Hotels 46,700 $241,439 $90,598 60.06 % Sold Some -3,300 -6.60 $-6,402
Lsi Corp (LSI) US LSI Electronic Compo-S ... 581,118 $1,557,396 $87,168 5.92 % No Change - - -
National Oilwell Varco Inc (NOV) US NOV Oil Field Mach And ... 73,500 $2,079,315 $497,595 31.45 % Sold Some -35,500 -32.56 $-240,335
Newstrike Capital Inc (NWS.A) US NWS.A Capital Pools 122,500 % No Change - - -
Rwe Ag (RWEOY.PK) DE RWEOY.PK Electric-Integrate ... 39,351 $3,293,679 $389,575 13.41 % No Change - - -
Salesforcecom Inc (CRM) US CRM Applications Softw ... 55,700 $1,594,134 $350,910 28.22 % Sold Some -16,300 -22.63 $-102,690
Siemens Ag (SI) US SI Diversified Manufa ... 38,020 $2,269,794 $291,613 14.74 % Sold Some -8,000 -17.38 $-61,360
Societe Generale (SCGLF.PK) FR SCGLF.PK Commer Banks Non-U ... 32,000 $1,164,800 $84,800 7.85 % New Holding 32,000 100.00 $84,800
Virgin Media Inc (VMEDW) US VMEDW - 304,759 $9,143 $0 0.00 % No Change - - -
Weyerhaeuser Co (WY) US WY Forestry 62,680 $2,358,022 $372,946 18.78 % Sold Some -12,155 -16.24 $-72,322
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Listed 22 holdings.
 

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