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Azl Targetplus Equity Fund

 
Page Created: 2008-12-04 08:01:00-08
Fund Type: SPECIALTY & MISC Report Date: 2008-12-01 Current Value: $14,068,966 Total Performance: -5.47 %
Family of: Allianz Variable Insurance Products Trust
 
   
 

Azl Targetplus Equity Fund
Highlights

Worst Move: Azl Targetplus Equity Fund potentially lost $-105,862 on changes made with Arena Resources Inc (ARD) buying shares when price went down.
Best Move: Azl Targetplus Equity Fund potentially made $466 on changes made with Cypress Semiconductor Corp (CY) buying shares when price went up.
Good Save: Azl Targetplus Equity Fund potentially saved $445 on changes made with Vodafone Group Plc (VOD) selling shares when price went down.
Missed Move: Azl Targetplus Equity Fund potentially missed $216 on changes made with Universal Corprichmond Va(UVV) selling shares when price went up.
 

Azl Targetplus Equity Fund
Contact Information

5701 Golden Hills Drive, Minneapolis Mn 55416,,
Phone: 763-765-6551, Fax: , Website:

Azl Targetplus Equity Fund
Symbols

Azl Targetplus Equity Fund
Recent Source SEC Filings

2008-12-01 http://www.sec.gov/Archives/edgar/data/1091439/0000950152-08-009837.txt
2008-09-04 http://www.sec.gov/Archives/edgar/data/1091439/0000950152-08-006989.txt
 

Azl Targetplus 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
Arena Resources Inc (ARD) US ARD Oil Comp-Explor An ... 49,468 $1,203,556 $-105,862 -8.08 % New Holding 49,468 100.00 $-105,862
Black Hills Corp (BKH) US BKH Electric-Integrate ... 25,529 $645,884 $-13,020 -1.97 % New Holding 25,529 100.00 $-13,020
Cypress Semiconductor Corp (CY) US CY Semicon Compo-Intg ... 9,310 $35,192 $466 1.34 % New Holding 9,310 100.00 $466
Dealertrack Holdings Inc (TRAK) US TRAK Internet Applic Sf ... 63,917 $713,314 $-44,103 -5.82 % New Holding 63,917 100.00 $-44,103
Deckers Outdoor Corp (DECK) US DECK Footwear And Relat ... 1,484 $82,911 $-5,595 -6.32 % New Holding 1,484 100.00 $-5,595
Deutsche Telekom Ag (DTE) DE DTE Electric-Integrate ... 21,822 $777,954 $-33,606 -4.14 % New Holding 21,822 100.00 $-33,606
Dynamic Materials Corp (BOOM) US BOOM Metal Processors A ... 3,288 $45,802 $-6,477 -12.38 % New Holding 3,288 100.00 $-6,477
Encana Corp (ECA) BE ECA Oil Comp-Explor An ... 12,936 $559,353 $-46,182 -7.62 % New Holding 12,936 100.00 $-46,182
Eni Spa (E) IT E Oil Comp-Integrate ... 11,957 $522,162 $-26,664 -4.85 % New Holding 11,957 100.00 $-26,664
Epiq Systems Inc (EPIQ) US EPIQ Applications Softw ... 44,486 $718,449 $-4,004 -0.55 % New Holding 44,486 100.00 $-4,004
Home Depot Inc (HD) US HD Retail-Building Pr ... 50,595 $1,105,501 $-63,750 -5.45 % New Holding 50,595 100.00 $-63,750
Lincoln National Corp (LNC) US LNC Life/Health Insura ... 17,426 $207,195 $-32,064 -13.40 % New Holding 17,426 100.00 $-32,064
Logica Plc (LOQ.BE) GB LOQ.BE Computer Services 549,395 $593,347 $0 0.00 % New Holding 549,395 100.00 $0
Meadwestvaco Corp (MWV) US MWV Paper And Related ... 32,631 $361,225 $-19,252 -5.06 % New Holding 32,631 100.00 $-19,252
New York Community Bancorp Inc (NYB) US NYB S And L/Thrifts-Ea ... 58,481 $712,883 $-50,294 -6.59 % New Holding 58,481 100.00 $-50,294
Nisource Inc (NI) US NI Gas-Distribution 57,904 $653,736 $-44,007 -6.30 % New Holding 57,904 100.00 $-44,007
Nvidia Corp (NVDA) US NVDA Electronic Compo-S ... 32,414 $233,705 $-8,428 -3.48 % New Holding 32,414 100.00 $-8,428
Peoples United Financial Inc (PBCT) US PBCT S And L/Thrifts-Ea ... 63,046 $1,134,198 $-68,090 -5.66 % New Holding 63,046 100.00 $-68,090
Petro-Canada (PCZ) CA PCZ Oil Comp-Integrate ... 17,125 $375,551 $-53,430 -12.45 % New Holding 17,125 100.00 $-53,430
Pfizer Inc (PFE) US PFE Medical-Drugs 59,772 $957,547 $-24,507 -2.49 % New Holding 59,772 100.00 $-24,507
Pnm Resources Inc (PNM) US PNM Electric-Integrate ... 47,870 $475,349 $-24,892 -4.97 % New Holding 47,870 100.00 $-24,892
Pricelinecom Inc (PCLN) US PCLN E-Commerce/Service ... 2,341 $145,119 $-16,410 -10.15 % New Holding 2,341 100.00 $-16,410
Radiant Systems Inc (RADS) US RADS Computers-Integrat ... 46,769 $195,494 $-33,674 -14.69 % New Holding 46,769 100.00 $-33,674
Sigma Designs Inc (SIGM) US SIGM Semicon Compo-Intg ... 3,232 $28,474 $-1,681 -5.57 % New Holding 3,232 100.00 $-1,681
Southern Copper Corp (PCU) PE PCU Metal-Copper 43,349 $548,365 $-48,117 -8.06 % New Holding 43,349 100.00 $-48,117
Universal Corprichmond Va (UVV) US UVV Tobacco 19,897 $622,577 $-13,530 -2.12 % Sold Some -318 -1.57 $216
Vodafone Group Plc (VOD) GB VOD Cellular Telecom 22,568 $414,123 $-27,759 -6.28 % Sold Some -362 -1.57 $445
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Listed 27 holdings.
 

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