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Turner Mid Cap Growth Portfolio

 
Page Created: 2008-12-04 08:54:00-08
Fund Type: MID-CAP GROWTH Report Date: 2008-11-14 Current Value: $205,221,178 Total Performance: -2.83 %
Family of: Met Investors Series Trust
 
   
 

Turner Mid Cap Growth Portfolio
Highlights

Worst Move: Turner Mid Cap Growth Portfolio potentially lost $-690,061 on changes made with Baiducom (BIDU) buying shares when price went down.
Best Move: Turner Mid Cap Growth Portfolio potentially made $951,321 on changes made with Fti Consulting Inc (FCN) buying shares when price went up.
Good Save: Turner Mid Cap Growth Portfolio potentially saved $571,414 on changes made with Ultra Petroleum Corp (UPL) selling shares when price went down.
Missed Move: Turner Mid Cap Growth Portfolio potentially missed $-295,905 on changes made with Pricelinecom Inc(PCLN) selling shares when price went up.
 

Turner Mid Cap Growth Portfolio
Contact Information

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

Turner Mid Cap Growth Portfolio
Symbols

Turner Mid Cap 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
 

Turner Mid Cap 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
Activision Blizzard Inc (ATVI) US ATVI Entertainment Soft ... None - - - % Sold All -205,630 -100.00 $-26,732
Agco Corp (AG) US AG Machinery-Farm 61,890 $1,313,925 $-394,239 -23.07 % Sold Some -18,460 -22.97 $117,590
Air Products And Chemicals Inc (APD) US APD Industrial Gases None - - - % Sold All -58,340 -100.00 $428,216
Airgas Inc (ARG) US ARG Industrial Gases 82,990 $2,687,216 $-183,408 -6.38 % New Holding 82,990 100.00 $-183,408
Akamai Technologies Inc (AKAM) US AKAM Internet Infrastr ... None - - - % Sold All -108,560 -100.00 $123,758
Alberto-Culver Co (ACV) US ACV Cosmetics And Toil ... 124,680 $2,741,713 $-115,952 -4.05 % Sold Some -72,980 -36.92 $67,871
Alexion Pharmaceuticals Inc (ALXN) US ALXN Medical-Biomedical ... 88,180 $2,772,379 $-599,624 -17.78 % Added More 44,090 100.00 $-299,812
Allergan Incunited States (AGN) US AGN Medical-Drugs 61,910 $2,155,087 $-52,624 -2.38 % Sold Some -3,230 -4.95 $2,746
Alpha Natural Resources Inc (ANR) US ANR Coal 34,740 $657,976 $-261,592 -28.44 % Added More 2,250 6.92 $-16,943
Altera Corp (ALTR) US ALTR Electronic Compo-S ... 300,230 $4,323,312 $-186,143 -4.12 % No Change - - -
American Superconductor Corp (AMSC) US AMSC Superconductor Pro ... None - - - % Sold All -42,422 -100.00 $-67,027
Ametek Inc (AME) US AME Electric Products- ... 108,620 $3,499,736 $262,860 8.12 % Sold Some -14,830 -12.01 $-35,889
Aon Corp (AOC) US AOC Insurance Brokers 110,180 $4,822,579 $177,390 3.81 % Added More 40,780 58.76 $65,656
Assurant Inc (AIZ) US AIZ Multi-Line Insuran ... None - - - % Sold All -53,920 -100.00 $44,214
Atheros Communications Inc (ATHR) US ATHR Networking Product ... 205,219 $2,698,630 $147,758 5.79 % Added More 68,430 50.02 $49,270
Baiducom (BIDU) KY BIDU Internet Content-I ... 11,440 $1,356,441 $-690,061 -33.71 % New Holding 11,440 100.00 $-690,061
Beckman Coulter Inc (BEC) US BEC Medical Instrument ... 32,690 $1,319,695 $-213,793 -13.94 % New Holding 32,690 100.00 $-213,793
Big Lots Inc (BIG) US BIG Retail-Discount 85,290 $1,370,610 $56,291 4.28 % Sold Some -66,370 -43.76 $-43,804
Biomarin Pharmaceutical Inc (BMRN) US BMRN Therapeutics None - - - % Sold All -18,450 -100.00 $45,203
Blackrock Inc (BLQA.BE) US BLQA.BE Invest Mgmnt/Advis ... None - - - % Sold All -20,300 -100.00 $-89,523
Cameron International Corp (CAM) US CAM Oil Field Mach And ... 119,850 $2,265,165 $-206,142 -8.34 % Added More 29,950 33.31 $-51,514
Cavium Networks Inc (CAVM) US CAVM Electronic Compo-S ... 141,313 $1,499,331 $28,263 1.92 % No Change - - -
Central European Distribution Cor ... (CEDC) US CEDC Beverages-Wine/Spi ... None - - - % Sold All -53,300 -100.00 $202,007
Central European Media Enterprise ... (CETV) BM CETV Television None - - - % Sold All -43,680 -100.00 $85,613
Cf Industries Holdings Inc (CF) US CF Agricultural Chemi ... None - - - % Sold All -18,750 -100.00 $169,125
Ch Robinson Worldwide Inc (CHRW) US CHRW Transport-Services None - - - % Sold All -39,860 -100.00 $158,643
Charles River Laboratories Intern ... (CRL) US CRL Medical-Biomedical ... 53,470 $1,189,173 $-67,907 -5.40 % Sold Some -12,270 -18.66 $15,583
Church And Dwight Co Inc (CHD) US CHD Soap And Cleaning ... None - - - % Sold All -37,440 -100.00 $749
Clean Harbors Inc (CLHB) US CLHB Hazardous Waste Di ... 42,621 $2,512,082 $-154,288 -5.78 % New Holding 42,621 100.00 $-154,288
Cleveland-Cliffs Inc (CLF) US CLF Metal-Iron None - - - % Sold All -34,320 -100.00 $-11,669
Clorox Co (CLX) US CLX Consumer Products- ... 54,900 $3,151,809 $-103,761 -3.18 % New Holding 54,900 100.00 $-103,761
Coach Inc (COH) US COH Retail-Apparel/Sho ... None - - - % Sold All -147,070 -100.00 $-150,011
Concur Technologies Inc (CNQR) US CNQR Enterprise Softwar ... 39,850 $1,038,491 $104,407 11.17 % New Holding 39,850 100.00 $104,407
Consol Energy Inc (CNX) US CNX Coal 69,410 $1,887,952 $116,609 6.58 % Sold Some -20,480 -22.78 $-34,406
Covance Inc (CVD) US CVD Medical Labs And T ... 54,260 $1,994,598 $-177,430 -8.16 % Sold Some -7,740 -12.48 $25,310
Covanta Holding Corp (CVA) US CVA Energy-Alternate S ... 128,810 $2,466,712 $-262,772 -9.62 % No Change - - -
Cr Bard Inc (BCR) US BCR Disposable Medical ... None - - - % Sold All -28,140 -100.00 $51,496
Crown Castle International Corp (CCI) US CCI Wireless Equipment None - - - % Sold All -117,260 -100.00 $-15,244
Cummins Inc (CMI) US CMI Engines-Internal C ... 101,800 $2,386,192 $188,330 8.56 % Added More 50,080 96.82 $92,648
Darden Restaurants Inc (DRI) US DRI Retail-Restaurants None - - - % Sold All -138,280 -100.00 $44,250
Deckers Outdoor Corp (DECK) US DECK Footwear And Relat ... 28,290 $1,580,562 $-136,641 -7.95 % New Holding 28,290 100.00 $-136,641
Denbury Resources Inc (DNR) US DNR Oil Comp-Explor An ... None - - - % Sold All -131,070 -100.00 $17,039
Dentsply International Inc (XRAY) US XRAY Dental Supplies An ... 80,720 $2,030,915 $-345,482 -14.53 % No Change - - -
Diamond Offshore Drilling Inc (DO) US DO Oil And Gas Drilli ... 31,190 $1,945,320 $-354,318 -15.40 % Sold Some -4,350 -12.23 $49,416
Dresser-Rand Group Inc (DRC) US DRC Oil Field Mach And ... 100,260 $1,587,116 $-241,627 -13.21 % New Holding 100,260 100.00 $-241,627
Ecolab Inc (ECL) US ECL Chemicals-Specialt ... 55,880 $1,986,534 $155,346 8.48 % New Holding 55,880 100.00 $155,346
Esco Technologies Inc (ESE) US ESE Diversified Manufa ... 17,900 $530,735 $-26,134 -4.69 % New Holding 17,900 100.00 $-26,134
Expeditors International Of Washi ... (EXPD) US EXPD Transport-Services None - - - % Sold All -116,380 -100.00 $-105,906
Express Scripts Inc (ESRX) US ESRX Pharmacy Services 113,400 $5,989,788 $-642,978 -9.69 % No Change - - -
F5 Networks Inc (FFIV) US FFIV Internet Infrastr ... 199,506 $4,572,678 $83,793 1.86 % New Holding 199,506 100.00 $83,793
First Solar Inc (FSLR) US FSLR Energy-Alternate S ... None - - - % Sold All -19,120 -100.00 $12,619
Fiserv Inc (FISV) US FISV Data Processing/Mg ... 114,830 $3,758,386 $-2,297 -0.06 % Added More 38,090 49.63 $-762
Flowserve Corp (FLS) US FLS Machinery-Pumps 37,185 $1,657,707 $-141,675 -7.87 % Sold Some -12,205 -24.71 $46,501
Fluor Corp (FLR) US FLR Engineering/R And ... 78,320 $3,457,828 $659,454 23.56 % Added More 39,160 100.00 $329,727
Fti Consulting Inc (FCN) US FCN Consulting Service ... 84,039 $4,410,367 $951,321 27.50 % New Holding 84,039 100.00 $951,321
Guess Inc (GU9.BE) US GU9.BE Retail-Apparel/Sho ... 160,260 $2,851,025 $437,510 18.12 % No Change - - -
Harley-Davidson Inc (HOG) US HOG Motorcycle/Motor S ... 115,080 $1,835,526 $69,048 3.90 % New Holding 115,080 100.00 $69,048
Harsco Corp (HSC) US HSC Diversified Manufa ... None - - - % Sold All -72,230 -100.00 $-26,003
Henry Schein Inc (HSIC) US HSIC Medical Products 61,440 $2,147,328 $-361,882 -14.42 % Sold Some -23,220 -27.42 $136,766
Hudson City Bancorp Inc (HCBK) US HCBK S And L/Thrifts-Ea ... 283,460 $4,311,427 $-651,958 -13.13 % Added More 13,430 4.97 $-30,889
Illumina Inc (ILMN) US ILMN Medical-Biomedical ... 99,380 $2,050,209 $-320,997 -13.53 % Added More 57,810 139.06 $-186,726
Informatica Corp (INFA) RO INFA Enterprise Softwar ... None - - - % Sold All -111,760 -100.00 $48,057
Intercontinentalexchange Inc (ICE) BE ICE Finance-Other Serv ... None - - - % Sold All -21,790 -100.00 $175,192
Intuitive Surgical Inc (ISRG) US ISRG Medical Instrument ... 19,350 $2,282,333 $-589,401 -20.52 % Sold Some -2,170 -10.08 $66,098
Jb Hunt Transport Services Inc (JBHT) US JBHT Transport-Truck 91,730 $2,308,844 $42,196 1.86 % New Holding 91,730 100.00 $42,196
Joy Global Inc (JOYG) US JOYG Machinery-Constr A ... None - - - % Sold All -59,500 -100.00 $246,925
Juniper Networks Inc (JNPR) US JNPR Networking Product ... 277,920 $4,513,421 $336,283 8.05 % Added More 100,540 56.68 $121,653
Kansas City Southern (KSU) US KSU Transport-Rail 56,370 $1,071,594 $-210,260 -16.40 % New Holding 56,370 100.00 $-210,260
Kohls Corp (KSS) US KSS Retail-Regnl Dept ... 141,370 $4,340,059 $227,606 5.53 % New Holding 141,370 100.00 $227,606
Lam Research Corp (LRCX) US LRCX Semiconductor Equi ... 122,530 $2,340,323 $136,008 6.17 % Added More 31,540 34.66 $35,009
Lululemon Athletica Inc (LULU) US LULU Retail-Apparel/Sho ... 83,140 $696,713 $11,640 1.69 % Sold Some -1,410 -1.66 $-197
Marvell Technology Group Ltd (MRVL) BM MRVL Semicon Compo-Intg ... None - - - % Sold All -380,900 -100.00 $274,248
Mcafee Inc (MFE) US MFE Internet Security 231,670 $6,560,894 $-41,701 -0.63 % Added More 52,120 29.02 $-9,382
Mccormick And Co Incmd (MKC) US MKC Food-Misc/Diversif ... 80,990 $2,361,668 $-132,014 -5.29 % New Holding 80,990 100.00 $-132,014
Mercadolibre Inc (MELI) US MELI E-Commerce/Product ... None - - - % Sold All -65,620 -100.00 $-35,435
Mgm Mirage (MGM) US MGM Casino Hotels 73,260 $805,860 $40,293 5.26 % New Holding 73,260 100.00 $40,293
Millicom International Cellular S ... (MICC) SE MICC Cellular Telecom None - - - % Sold All -36,020 -100.00 $-176,858
Myriad Genetics Inc (MYGN) US MYGN Medical-Biomedical ... 28,690 $1,695,579 $-201,691 -10.63 % New Holding 28,690 100.00 $-201,691
Nabors Industries Ltd (NBR) BM NBR Oil And Gas Drilli ... None - - - % Sold All -111,060 -100.00 $167,701
National Oilwell Varco Inc (NOV) US NOV Oil Field Mach And ... None - - - % Sold All -27,310 -100.00 $69,641
Nii Holdings Inc (NIHD) US NIHD Cellular Telecom 106,600 $1,923,064 $135,382 7.57 % New Holding 106,600 100.00 $135,382
Nvidia Corp (NVDA) US NVDA Electronic Compo-S ... None - - - % Sold All -290,920 -100.00 $-11,637
Omniture Inc (OMTR) US OMTR Computer Software 223,270 $2,152,323 $192,012 9.79 % Added More 81,050 56.98 $69,703
Owens-Illinois Inc (OI) US OI Containers-Metal/G ... None - - - % Sold All -114,910 -100.00 $188,452
Pactiv Corp (PTV) US PTV Containers-Paper/P ... 151,400 $3,594,236 $-119,606 -3.22 % New Holding 151,400 100.00 $-119,606
Pentair Inc (PNR) US PNR Diversified Manufa ... 44,090 $1,007,457 $-18,959 -1.84 % New Holding 44,090 100.00 $-18,959
Pioneer Natural Resources Co (PXD) PH PXD Oil Comp-Explor An ... None - - - % Sold All -55,270 -100.00 $203,394
Pmc - Sierra Inc (PMCS) US PMCS Electronic Compo-S ... 617,950 $2,280,236 $-105,052 -4.40 % Added More 118,170 23.64 $-20,089
Polycom Inc (PLCM) US PLCM Networking Product ... 110,470 $1,815,022 $-195,532 -9.72 % New Holding 110,470 100.00 $-195,532
Ppl Corp (PPL) US PPL Electric-Integrate ... 100,120 $3,141,766 $-124,149 -3.80 % Added More 44,350 79.52 $-54,994
Pricelinecom Inc (PCLN) US PCLN E-Commerce/Service ... None - - - % Sold All -36,130 -100.00 $-295,905
Public Storage (PSA) US PSA Reits-Storage 40,660 $2,633,955 $13,011 0.49 % No Change - - -
Pulte Homes Inc (PHM) US PHM Bldg-Residential/C ... 219,590 $2,156,374 $162,497 8.14 % Added More 41,830 23.53 $30,954
Quanta Services Inc (PWR) US PWR Commercial Service ... 151,920 $2,379,067 $233,957 10.90 % New Holding 151,920 100.00 $233,957
Questar Corp (STR) US STR Pipelines 57,890 $1,709,492 $35,313 2.10 % Added More 150 0.25 $92
Range Resources Corp (RRC) US RRC Oil Comp-Explor An ... 75,575 $2,799,298 $-270,559 -8.81 % Sold Some -20,340 -21.20 $72,817
Robert Half International Inc (RHI) US RHI Human Resources 143,690 $2,790,460 $231,341 9.03 % New Holding 143,690 100.00 $231,341
Ryder System Inc (R) US R Transport-Services None - - - % Sold All -40,470 -100.00 $96,723
Salesforcecom Inc (CRM) US CRM Applications Softw ... 88,770 $2,580,544 $237,016 10.11 % Sold Some -19,890 -18.30 $-53,106
Sherwin-Williams Cothe (SHW) US SHW Coatings/Paint 63,130 $3,443,742 $3,157 0.09 % New Holding 63,130 100.00 $3,157
Sigma-Aldrich Corp (SIAL) US SIAL Chemicals-Specialt ... 50,350 $1,993,357 $-62,938 -3.06 % New Holding 50,350 100.00 $-62,938
Smith International Inc (SII) US SII Oil-Field Services 89,200 $2,134,556 $-284,548 -11.76 % New Holding 89,200 100.00 $-284,548
Southwestern Energy Co (SWN) US SWN Oil Comp-Explor An ... 124,780 $3,730,922 $-44,921 -1.18 % Sold Some -3,960 -3.07 $1,426
Spx Corp (SPW) US SPW Diversified Manufa ... 38,560 $1,324,536 $45,115 3.52 % No Change - - -
Staples Inc (SPLS) US SPLS Retail-Office Supp ... 200,810 $3,277,219 $-154,624 -4.50 % New Holding 200,810 100.00 $-154,624
Steel Dynamics Inc (STLD) US STLD Steel-Producers None - - - % Sold All -133,540 -100.00 $134,875
Stericycle Inc (SRCL) US SRCL Hazardous Waste Di ... 67,010 $3,566,272 $-320,978 -8.25 % No Change - - -
Sunoco Inc (SUN) US SUN Oil Refining And M ... 84,150 $2,945,250 $-249,926 -7.82 % New Holding 84,150 100.00 $-249,926
T Rowe Price Group Inc (TROW) US TROW Invest Mgmnt/Advis ... 122,350 $3,635,019 $-220,230 -5.71 % Sold Some -18,030 -12.84 $32,454
Temple-Inland Inc (TIN) US TIN Paper And Related ... 169,900 $524,991 $-224,268 -29.93 % New Holding 169,900 100.00 $-224,268
Toll Brothers Inc (TOL) US TOL Bldg-Residential/C ... 117,490 $2,143,018 $96,342 4.70 % New Holding 117,490 100.00 $96,342
Ultra Petroleum Corp (UPL) CA UPL Oil Comp-Explor An ... None - - - % Sold All -63,070 -100.00 $571,414
United Therapeutics Corp (UTHR) US UTHR Therapeutics 34,410 $1,789,664 $-1,325,129 -42.54 % No Change - - -
Urban Outfitters Inc (URBN) US URBN Retail-Apparel/Sho ... 130,870 $2,220,864 $121,709 5.79 % No Change - - -
Varian Semiconductor Equipment As ... (VSEA) US VSEA Semiconductor Equi ... 167,340 $2,861,514 $-61,916 -2.11 % New Holding 167,340 100.00 $-61,916
Verisign Inc (VRSN) US VRSN Internet Security None - - - % Sold All -154,810 -100.00 $-60,376
Vistaprint Ltd (VPRT) FR VPRT Printing-Commercia ... 136,810 $2,169,807 $422,743 24.19 % No Change - - -
Walter Industries Inc (WLT) US WLT Coal 33,650 $502,058 $-303,187 -37.65 % Added More 8,680 34.76 $-78,207
Warnaco Group Incthe (WRNC) US WRNC Intimate Apparel 50,150 % New Holding 50,150 100.00
Wms Industries Inc (WMS) US WMS Leisure And Rec Pr ... 170,794 $3,948,757 $343,296 9.52 % Added More 37,030 27.68 $74,430
Wynn Resorts Ltd (WYNN) US WYNN Casino Hotels 60,000 $2,254,800 $-325,200 -12.60 % Added More 5,860 10.82 $-31,761
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Listed 121 holdings.
 

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Note: All amounts are based on price of stock at date reported versus the current price! They do not represent actual profit/loss!
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