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Legg Mason Partners Aggressive Growth Portfolio

 
Page Created: 2008-12-04 08:31:00-08
Fund Type: MULTI-CAP GROWTH Report Date: 2008-11-14 Current Value: $507,259,898 Total Performance: -5.38 %
Family of: Met Investors Series Trust
 
   
 

Legg Mason Partners Aggressive Growth Portfolio
Highlights

Worst Move: Legg Mason Partners Aggressive Growth Portfolio potentially lost $-293,250 on changes made with National Oilwell Varco Inc (NOV) buying shares when price went down.
Best Move: Legg Mason Partners Aggressive Growth Portfolio potentially made $250,005 on changes made with Nokia Oyj (NOK) buying shares when price went up.
Good Save: Legg Mason Partners Aggressive Growth Portfolio potentially saved $229,223 on changes made with Merrill Lynch And Co Inc (MER) selling shares when price went down.
Missed Move: Legg Mason Partners Aggressive Growth Portfolio potentially missed $35,000 on changes made with King Pharmaceuticals Inc(KG) selling shares when price went up.
 

Legg Mason Partners Aggressive Growth Portfolio
Contact Information

610 Newport Center Drive Ste 1350, Newport Beach Ca 92660,,
Phone: 2125783866, Fax: , Website:

Legg Mason Partners Aggressive Growth Portfolio
Symbols

Legg Mason Partners Aggressive Growth Portfolio
Recent Source SEC Filings

2008-11-14 http://www.sec.gov/Archives/edgar/data/1126087/0001193125-08-236337.txt
2008-09-05 http://www.sec.gov/Archives/edgar/data/1126087/0001193125-08-191047.txt
 

Legg Mason Partners Aggressive Growth 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
Amgen Inc (AMGN) US AMGN Medical-Biomedical ... 801,700 $43,804,888 $-2,878,103 -6.16 % No Change - - -
Anadarko Petroleum Corp (APC) US APC Oil Comp-Explor An ... 1,713,300 $64,591,410 $-205,596 -0.31 % No Change - - -
Arris Group Inc (ARRS) FR ARRS Telecommunication ... 122,915 $816,156 $55,312 7.26 % No Change - - -
Autodesk Inc (ADSK) US ADSK Computer Aided Des ... 193,000 $3,005,010 $-764,280 -20.27 % No Change - - -
Biogen Idec Inc (BIIB) US BIIB Medical-Biomedical ... 1,053,500 $43,646,505 $-2,201,815 -4.80 % No Change - - -
Biomimetic Therapeutics Inc (BMTI) US BMTI Medical-Biomedical ... 145,000 $967,150 $-211,700 -17.95 % No Change - - -
Cbs Corp (CBS) US CBS Television 79,400 $508,954 $-16,674 -3.17 % No Change - - -
Charming Shoppes Inc (CHRS) US CHRS Retail-Apparel/Sho ... 177,100 $224,917 $53,130 30.92 % No Change - - -
Cirrus Logic Inc (CRUS) US CRUS Semicon Compo-Intg ... 291,400 $1,247,192 $58,280 4.90 % No Change - - -
Cit Group Inc (CIT) US CIT Finance-Commercial 79,400 $273,930 $-54,786 -16.66 % No Change - - -
Covidien Ltd (COV) BM COV Medical Products 467,525 $15,975,329 $-1,837,373 -10.31 % Added More 40,000 9.35 $-157,200
Cree Inc (CREE) US CREE Electronic Compo-S ... 159,800 $2,507,262 $-463,420 -15.59 % Added More 50,000 45.53 $-145,000
Forest Laboratories Inc (FRX) US FRX Medical-Drugs 1,467,200 $32,337,088 $-1,364,496 -4.04 % Added More 25,000 1.73 $-23,250
Genentech Inc (DNA) US DNA Medical-Biomedical ... 58,200 $4,177,014 $-571,524 -12.03 % No Change - - -
Genzyme Corp (GENZ) US GENZ Medical-Biomedical ... 993,200 $59,631,728 $-9,038,120 -13.16 % No Change - - -
Imclone Systems Inc (IMCL) US IMCL Therapeutics 468,500 $32,790,315 $252,990 0.77 % No Change - - -
Intel Corp (INTC) US INTC Electronic Compo-S ... 264,900 $3,517,872 $-10,596 -0.30 % No Change - - -
Johnson And Johnson (JNJ) US JNJ Medical Products 185,300 $10,530,599 $-596,666 -5.36 % No Change - - -
King Pharmaceuticals Inc (KG) US KG Medical-Drugs 323,700 $3,007,173 $-113,295 -3.63 % Sold Some -100,000 -23.60 $35,000
L-3 Communications Holdings Inc (LLL) US LLL Electronics-Milita ... 325,700 $21,545,055 $-1,035,726 -4.58 % Added More 25,000 8.31 $-79,500
Lehman Brothers Holdings Inc (LEH) CH LEH Finance-Invest Bnk ... None - - - % Sold All -941,700 -100.00
Liberty Global Inc (LBTYB) US LBTYB Broadcast Serv/Pro ... 52,900 $650,670 $-145,475 -18.27 % No Change - - -
Merrill Lynch And Co Inc (MER) US MER Finance-Invest Bnk ... 312,330 $3,610,535 $-512,221 -12.42 % Sold Some -139,770 -30.91 $229,223
Micron Technology Inc (MU) US MU Electronic Compo-S ... 1,855,100 $3,877,159 $-1,224,366 -24.00 % No Change - - -
Motorola Inc (MOT) US MOT Wireless Equipment 767,300 $3,276,371 $145,787 4.65 % No Change - - -
National Oilwell Varco Inc (NOV) US NOV Oil Field Mach And ... 486,578 $11,317,804 $-1,240,774 -9.87 % Added More 115,000 30.94 $-293,250
Nokia Oyj (NOK) US NOK Wireless Equipment 238,100 $3,247,684 $250,005 8.33 % New Holding 238,100 100.00 $250,005
Pall Corp (PLL) US PLL Filtration/Separat ... 238,100 $6,242,982 $426,199 7.32 % No Change - - -
Rf Micro Devices Inc (RFMD) US RFMD Wireless Equipment 317,900 $324,258 $-95,370 -22.72 % No Change - - -
Sandisk Corp (SNDK) US SNDK Computers-Memory D ... 452,400 $3,261,804 $27,144 0.83 % No Change - - -
Seagate Technology (STX) US STX Computers-Memory D ... 389,400 $1,678,314 $-218,064 -11.49 % No Change - - -
Sirius Xm Radio Inc (SIRI) US SIRI Radio None - - - % Sold All -2,481,200 -100.00 $198,496
Teradyne Inc (TER) US TER Semiconductor Equi ... 264,500 $907,235 $-163,990 -15.30 % No Change - - -
Teva Pharmaceutical Industries Lt ... (TEVA) IL TEVA Medical-Generic Dr ... 52,900 $2,249,308 $-20,631 -0.90 % New Holding 52,900 100.00 $-20,631
Time Warner Inc (TWX) US TWX Multimedia 1,726,000 $15,534,000 $-258,900 -1.63 % No Change - - -
Tyco Electronics Ltd (TEL) BM TEL Electronic Compo-M ... 702,525 $10,825,910 $639,298 6.27 % Added More 155,000 28.30 $141,050
Tyco International Ltd (TYC) BM TYC Diversified Manufa ... 667,525 $13,784,391 $100,129 0.73 % Added More 60,000 9.87 $9,000
Unitedhealth Group Inc (UNH) US UNH Medical-Hmo 1,737,400 $35,303,968 $521,220 1.49 % Added More 50,000 2.96 $15,000
Valeant Pharmaceuticals Internati ... (VRX) US VRX Medical-Drugs 325,100 $6,495,498 $682,710 11.74 % No Change - - -
Vertex Pharmaceuticals Inc (VRTX) US VRTX Medical-Biomedical ... 158,900 $3,508,512 $-861,238 -19.70 % No Change - - -
Walt Disney Cothe (DIS) US DIS Multimedia 502,500 $10,783,650 $190,950 1.80 % New Holding 502,500 100.00 $190,950
Weatherford International Ltd (WFT) BM WFT Oil-Field Services 2,456,200 $25,274,298 $-6,165,062 -19.60 % No Change - - -
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Listed 42 holdings.
 

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