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Federated Stock And Bond Fund Inc Md

 Fund Type: SPECIALTY & MISC Report Date: 2008-04-24 Current Value: $85,911,680 Total Performance: -5.56 %
 Family of: Federated Stock And Bond Fund Inc Md
 
Worst Move: Federated Stock And Bond Fund Inc Md potentially lost $-894,608 on changes made with Apache (APA.BE) buying shares when price went down.
Best Move: Federated Stock And Bond Fund Inc Md potentially made $863,850 on changes made with Anheuser Busch Cos Inc (ABC.BE) buying shares when price went up.
Good Save: Federated Stock And Bond Fund Inc Md potentially saved $396,066 on changes made with Wachovia Corp (WB) selling shares when price went down.
Missed Move: Federated Stock And Bond Fund Inc Md potentially missed $-116,039 on changes made with Waste Mgmt Inc(WMI) selling shares when price went up.
 
 
   

Federated Stock And Bond Fund Inc Md Details

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Stock Country Symbol Industry Current Shares Current Value Value Chng. Return Activity Shares Chng. Shares Chg.% Results
Abbott Labs (ABT) US ABT Medical-Drugs 34,800 $2,007,612 $252,300 14.37 % New Holding 34,800 100.00 $252,300
Alcoa Inc (AA) US AA Metal-Aluminum 18,300 $620,004 $-17,751 -2.78 % New Holding 18,300 100.00 $-17,751
Altria Group Inc (MO) US MO Tobacco 21,400 $440,840 $-41,302 -8.56 % New Holding 21,400 100.00 $-41,302
American Eagle Outfitters Inc (AFG.BE) US AFG.BE Retail-Apparel/Sho ... 99,300 $1,363,389 $-270,096 -16.53 % New Holding 99,300 100.00 $-270,096
Anheuser Busch Cos Inc (ABC.BE) US ABC.BE Brewery 44,300 $2,938,419 $863,850 41.63 % New Holding 44,300 100.00 $863,850
Apache (APA.BE) FR APA.BE Oil Comp-Explor&Pr ... 39,100 $4,489,462 $-894,608 -16.61 % New Holding 39,100 100.00 $-894,608
Applied Matls Inc (AMAT) US AMAT Semiconductor Equi ... 63,900 $1,111,221 $-119,493 -9.70 % New Holding 63,900 100.00 $-119,493
Bank Of America Corp (IKJ) DE IKJ - 29,400 $675,906 $-35,574 -5.00 % New Holding 29,400 100.00 $-35,574
Becton Dickinson And Co (BOX.BE) US BOX.BE Medical Products 30,200 $2,495,728 $-63,722 -2.48 % New Holding 30,200 100.00 $-63,722
Cardinal Health Inc (CAH) US CAH Medical-Whsle Drug ... 47,300 $2,498,386 $8,041 0.32 % New Holding 47,300 100.00 $8,041
Carnival Corp (CCL) US CCL Cruise Lines 63,900 $2,538,747 $-1,278 -0.05 % New Holding 63,900 100.00 $-1,278
Coca Cola Ag (KO) CH KO Beverages-Non-Alco ... 43,100 $2,213,185 $-383,590 -14.77 % New Holding 43,100 100.00 $-383,590
Colgate Palmolive Co (CL) US CL Cosmetics&Toiletri ... 18,800 $1,317,692 $-118,816 -8.27 % New Holding 18,800 100.00 $-118,816
Covidien Limited (COV) BM COV Medical Products 27,800 $1,413,352 $101,748 7.75 % New Holding 27,800 100.00 $101,748
Entergy Corp (ETR) US ETR Electric-Integrate ... 10,600 $1,191,546 $-13,886 -1.15 % New Holding 10,600 100.00 $-13,886
Exxon Mobil Corp (XOM) US XOM Oil Comp-Integrate ... 54,900 $4,549,014 $-534,726 -10.51 % New Holding 54,900 100.00 $-534,726
Firstenergy Corp (FE) US FE Electric-Integrate ... 35,900 $2,777,942 $23,335 0.84 % New Holding 35,900 100.00 $23,335
Freeport Mcmoran Copper And Goldi ... (FCX) US FCX Metal-Diversified 21,200 $2,131,236 $-256,096 -10.72 % New Holding 21,200 100.00 $-256,096
General Elec Co (GE) US GE Diversified Manufa ... 86,300 $2,459,550 $-371,953 -13.13 % New Holding 86,300 100.00 $-371,953
Goldman Sachs Group Inc (GS) US GS Finance-Invest Bnk ... 4,400 $827,376 $-3,300 -0.39 % New Holding 4,400 100.00 $-3,300
Hartford Finl Svcs Group Inc (HIG) US HIG Multi-Line Insuran ... 24,100 $1,507,455 $-215,213 -12.49 % New Holding 24,100 100.00 $-215,213
Hewlett Packard Co (HPQ) US HPQ Computers 38,900 $1,693,317 $-187,498 -9.96 % New Holding 38,900 100.00 $-187,498
Intel Corp (INTC) US INTC Electronic Compo-S ... 62,600 $1,382,834 $-37,560 -2.64 % New Holding 62,600 100.00 $-37,560
Johnson And Johnson (JNJ) US JNJ Medical Products 18,900 $1,285,011 $11,718 0.92 % New Holding 18,900 100.00 $11,718
Jpmorgan Chase And Co (JPM) US JPM Finance-Invest Bnk ... 90,100 $3,681,486 $-550,511 -13.00 % New Holding 90,100 100.00 $-550,511
Kellogg Co (K) US K Food-Misc/Diversif ... 47,000 $2,458,100 $23,030 0.94 % New Holding 47,000 100.00 $23,030
Lockheed Martin Corp (LMT) US LMT Aerospace/Defense 24,300 $2,524,284 $-66,096 -2.55 % New Holding 24,300 100.00 $-66,096
Mattel Inc (MTT.BE) US MTT.BE Toys 111,600 $2,240,928 $156,240 7.49 % New Holding 111,600 100.00 $156,240
Mcdonalds Corp (MCD) US MCD Retail-Restaurants 22,150 $1,331,658 $11,961 0.90 % New Holding 22,150 100.00 $11,961
Merck And Co Inc (MRK) US MRK Medical-Drugs 22,600 $708,058 $-195,264 -21.61 % New Holding 22,600 100.00 $-195,264
Microsoft Corp (MSFT) US MSFT Applications Softw ... 143,600 $3,704,880 $-861,600 -18.86 % New Holding 143,600 100.00 $-861,600
Norfolk Southn Corp (NSC) US NSC Transport-Rail 39,500 $2,594,755 $227,520 9.61 % New Holding 39,500 100.00 $227,520
Oracle Corp (ORCL) US ORCL Enterprise Softwar ... None - - - % Sold All -150,000 -100.00 $63,000
Praxair Inc (PX) US PX Industrial Gases None - - - % Sold All -26,200 -100.00 $-15,458
Procter And Gamble Ag (PG) CH PG Cosmetics&Toiletri ... 46,900 $3,006,290 $-128,037 -4.08 % New Holding 46,900 100.00 $-128,037
Progress Energy Ltd (PGN) CA PGN Electric-Integrate ... 51,500 $2,129,525 $5,665 0.26 % New Holding 51,500 100.00 $5,665
Raytheon Co (RTN) US RTN Aerospace/Defense 62,700 $3,559,479 $-584,364 -14.10 % New Holding 62,700 100.00 $-584,364
Scana Corp (SCG) US SCG Electric-Integrate ... None - - - % Sold All -36,000 -100.00 $124,560
Tjx Cos Inc (TJX) US TJX Retail-Discount 60,700 $2,124,500 $184,528 9.51 % Sold Some -7,300 -10.73 $-22,192
Us Bancorp (USB) US USB Super-Regional Ban ... 75,200 $2,284,576 $-307,568 -11.86 % New Holding 75,200 100.00 $-307,568
Valero Energy Corp (VLO) US VLO Oil Refining&Marke ... 10,500 $370,230 $-169,260 -31.37 % New Holding 10,500 100.00 $-169,260
Verizon Communications Inc (VZ) US VZ Telephone-Integrat ... None - - - % Sold All -38,000 -100.00 $63,840
Wachovia Corp (WB) US WB Super-Regional Ban ... None - - - % Sold All -37,400 -100.00 $396,066
Wal Mart Stores Inc (WMT) US WMT Retail-Discount 70,000 $4,134,200 $112,700 2.80 % Sold Some -700 -0.99 $-1,127
Waste Mgmt Inc (WMI) US WMI Non-Hazardous Wast ... None - - - % Sold All -95,900 -100.00 $-116,039
Wyeth (WYE) US WYE Medical-Drugs None - - - % Sold All -33,000 -100.00 $-3,960
Xto Energy Inc (XTO) US XTO Oil Comp-Explor&Pr ... 58,925 $3,129,507 $-612,231 -16.36 % Added More 6,025 11.38 $-62,600
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Listed 47 holdings.
   
 
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!
Note: All amounts in USD, converted using Intrabank Exchange Rate on Date Reported/Today
Information is provided 'as is' and solely for informational purposes, not for trading purposes or advice, and may be inaccurate!
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