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Queens Road Value Fund

 
Page Created: 2008-12-02 08:58:00-08
Fund Type: MULTI-CAP VALUE Report Date: 2008-10-30 Current Value: $4,850,097 Total Performance: -2.17 %
Family of: Bragg Capital Trust
 
   
 

Queens Road Value Fund
Highlights

Worst Move: Queens Road Value Fund potentially lost $-17,745 on changes made with T Rowe Price Group Inc (TROW) buying shares when price went down.
Best Move: Queens Road Value Fund potentially made $19,516 on changes made with Progressive Corpthe (PGR) buying shares when price went up.
Good Save: Queens Road Value Fund potentially saved $14,340 on changes made with Prudential Financial Inc (PRU) selling shares when price went down.
Missed Move: Queens Road Value Fund potentially missed $-1,610 on changes made with Lexmark International Inc(LXK) selling shares when price went up.
 

Queens Road Value Fund
Contact Information

100 Queens Rd, Charlotte Nc 28204,,
Phone: 7047147711, Fax: , Website:

Queens Road Value Fund
Symbols

QRVLX

Queens Road Value Fund
Recent Source SEC Filings

2008-10-30 http://www.sec.gov/Archives/edgar/data/1170611/0001162044-08-000581.txt
2008-08-05 http://www.sec.gov/Archives/edgar/data/1170611/0001162044-08-000380.txt
 

Queens Road Value 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
Aegon Nv (AEG) US AEG Multi-Line Insuran ... 14,710 $68,402 $11,180 19.53 % New Holding 14,710 100.00 $11,180
Aflac Inc (AFL) US AFL Life/Health Insura ... 4,000 $185,200 $12,560 7.27 % No Change - - -
American Express Co (AXP) US AXP Finance-Credit Car ... 4,000 $93,240 $-11,000 -10.55 % New Holding 4,000 100.00 $-11,000
Apache Corp (APA) US APA Oil Comp-Explor An ... 1,200 $92,760 $-1,980 -2.08 % No Change - - -
At And T Inc (T) US T Telephone-Integrat ... 7,100 $202,776 $10,366 5.38 % New Holding 7,100 100.00 $10,366
Boeing Co (BA) US BA Aerospace/Defense None - - - % Sold All -160 -100.00 $1,291
Bok Financial Corp (BOKF) US BOKF Commer Banks-Centr ... 1,700 $78,863 $68 0.08 % New Holding 1,700 100.00 $68
Brown And Brown Inc (BRO) US BRO Insurance Brokers 1,300 $25,870 $325 1.27 % New Holding 1,300 100.00 $325
Brown-Forman Corp (BF5A.BE) US BF5A.BE Beverages-Wine/Spi ... 1,830 $82,240 $3,331 4.22 % New Holding 1,830 100.00 $3,331
Cbs Corp (CBS) US CBS Television 10,490 $69,863 $-29,057 -29.37 % No Change - - -
Centurytel Inc (CTL) US CTL Telephone-Integrat ... 6,000 $159,360 $15,600 10.85 % New Holding 6,000 100.00 $15,600
Clorox Co (CLX) US CLX Consumer Products- ... 2,900 $171,564 $-145 -0.08 % No Change - - -
Conseco Inc (CNO) US CNO Life/Health Insura ... 9,500 $32,015 $14,440 82.16 % No Change - - -
Covidien Ltd (COV) BM COV Medical Products 1,162 $42,820 $-7,936 -15.63 % No Change - - -
Danaher Corp (DHR) US DHR Diversified Manufa ... 1,150 $63,986 $-3,128 -4.66 % No Change - - -
Dish Network Corp (DISH) US DISH Television None - - - % Sold All -560 -100.00 $3,069
Duke Energy Corp (DUK) US DUK Electric-Integrate ... 10,900 $169,604 $-13,843 -7.54 % New Holding 10,900 100.00 $-13,843
Emc Corpmassachusetts (EMC) US EMC Computers-Memory D ... 10,000 $105,700 $-8,900 -7.76 % No Change - - -
Exelon Corp (EXC) US EXC Electric-Integrate ... 700 $39,347 $1,120 2.92 % No Change - - -
Exxon Mobil Corp (XOM) US XOM Oil Comp-Integrate ... 1,700 $136,255 $8,670 6.79 % No Change - - -
Fortune Brands Inc (FO) US FO Consumer Products- ... 3,380 $127,764 $4,428 3.59 % New Holding 3,380 100.00 $4,428
Gannett Co Inc (GCI) US GCI Publishing-Newspap ... None - - - % Sold All -420 -100.00 $861
Glaxosmithkline Plc (GSK) IT GSK Medical-Drugs 6,000 $206,640 $-20,760 -9.12 % No Change - - -
Hasbro Inc (HAS) US HAS Toys 2,700 $72,360 $-3,942 -5.16 % No Change - - -
Integrys Energy Group Inc (TEG) US TEG Electric-Integrate ... None - - - % Sold All -2,100 -100.00 $5,376
Intel Corp (INTC) US INTC Electronic Compo-S ... 6,000 $82,800 $-14,220 -14.65 % No Change - - -
Johnson And Johnson (JNJ) US JNJ Medical Products 3,050 $178,669 $-6,070 -3.28 % New Holding 3,050 100.00 $-6,070
Johnson Matthey Plc (JMPLF.PK) US JMPLF.PK Chemicals-Diversif ... None - - - % Sold All -3,050 -100.00 $6,100
Legg Mason Inc (LM) CL LM Invest Mgmnt/Advis ... 4,100 $73,882 $-11,234 -13.19 % New Holding 4,100 100.00 $-11,234
Leucadia National Corp (LUK) US LUK Diversified Operat ... 5,200 $101,660 $-34,944 -25.58 % No Change - - -
Lexmark International Inc (LXK) US LXK Computers-Peripher ... None - - - % Sold All -4,600 -100.00 $-1,610
Maxim Power Corp (MXGFF.PK) CA MXGFF.PK Electric-Generatio ... None - - - % Sold All -4,000 -100.00 $7,640
Mcdonalds Corp (MCD) US MCD Retail-Restaurants 3,325 $195,344 $2,926 1.52 % No Change - - -
Medtronic Inc (MDT) US MDT Medical Instrument ... None - - - % Sold All -1,500 -100.00 $13,380
Merck And Co Incnj (MRK) US MRK Medical-Drugs 3,820 $102,070 $-13,255 -11.49 % New Holding 3,820 100.00 $-13,255
Metlife Inc (MET-A) US MET-A Multi-Line Insuran ... 3,035 % No Change - - -
Microsoft Corp (MSFT) US MSFT Applications Softw ... 7,500 $151,650 $-18,075 -10.64 % No Change - - -
News Corp (NWS) DE NWS Multimedia None - - - % Sold All -4,500 -100.00 $8,955
Newstrike Capital Inc (NWS.A) US NWS.A Capital Pools 4,500 % New Holding 4,500 100.00
Northeast Utilities (NU) US NU Electric-Integrate ... 3,000 $69,900 $1,920 2.82 % New Holding 3,000 100.00 $1,920
Omnicom Group Inc (OMC) US OMC Advertising Agenci ... 500 $14,145 $-95 -0.66 % New Holding 500 100.00 $-95
Pfizer Inc (PFE) US PFE Medical-Drugs 10,000 $164,300 $-14,300 -8.00 % No Change - - -
Progress Energy Inc (PGN) CA PGN Electric-Integrate ... 1,700 $67,473 $-2,023 -2.91 % New Holding 1,700 100.00 $-2,023
Progressive Corpthe (PGR) US PGR Property/Casualty ... 11,900 $178,738 $19,516 12.25 % New Holding 11,900 100.00 $19,516
Prudential Financial Inc (PRU) US PRU Life/Health Insura ... None - - - % Sold All -2,000 -100.00 $14,340
Seagate Technology (STX) US STX Computers-Memory D ... 2,500 $10,525 $-5,500 -34.32 % New Holding 2,500 100.00 $-5,500
Southern Co (SO) US SO Electric-Integrate ... 4,400 $159,808 $4,664 3.00 % No Change - - -
Spectra Energy Corp (SE) US SE Pipelines 1,200 $19,512 $-3,636 -15.70 % New Holding 1,200 100.00 $-3,636
Symantec Corp (SYMC) US SYMC Internet Security 3,000 $36,090 $-510 -1.39 % No Change - - -
T Rowe Price Group Inc (TROW) US TROW Invest Mgmnt/Advis ... 3,900 $133,419 $-17,745 -11.73 % New Holding 3,900 100.00 $-17,745
Time Warner Inc (TWX) US TWX Multimedia 15,500 $140,275 $-14,105 -9.13 % New Holding 15,500 100.00 $-14,105
Torchmark Corp (TMK) US TMK Life/Health Insura ... 1,800 $65,070 $-6,426 -8.98 % No Change - - -
Travelers Cos Incthe (TRV) US TRV Property/Casualty ... 4,300 $187,695 $10,750 6.07 % New Holding 4,300 100.00 $10,750
Unilever Plc (UL) PK UL Food-Misc/Diversif ... 1,670 $38,243 $1,219 3.29 % No Change - - -
United Technologies Corp (UTX) US UTX Aerospace/Defense- ... 600 $29,118 $-3,024 -9.40 % New Holding 600 100.00 $-3,024
Vf Holding Ad Beograd (VFHL:SG) RS VFHL:SG Telecommunication ... 1,500 % New Holding 1,500 100.00
Viacom Inc (VIA) CH VIA Multimedia 490 $8,614 $-2,132 -19.83 % No Change - - -
Waste Connections Inc (WCN) US WCN Non-Hazardous Wast ... 2,250 $63,518 $-8,730 -12.08 % New Holding 2,250 100.00 $-8,730
Wellpoint Inc (WLP) US WLP Medical-Hmo 4,300 $153,080 $-6,622 -4.14 % No Change - - -
Windstream Corp (WIN) US WIN Telephone-Integrat ... 22,333 $197,870 $52,259 35.88 % No Change - - -
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Listed 60 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!
There has been no adjustmentsfor splits!
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