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Delaware Value Fund

 Fund Type: LARGE-CAP VALUE Report Date: 2008-04-29 Current Value: $355,968,962 Total Performance: -9.97 %
 Family of: Delaware Group Equity Funds Ii
 
Worst Move: Delaware Value Fund potentially lost $-5,587,435 on changes made with Discover Finl Svcs (DC7.BE) buying shares when price went down.
Best Move: Delaware Value Fund potentially made $378,675 on changes made with Waste Mgmt Inc (WMI) buying shares when price went up.
Good Save: Delaware Value Fund potentially saved $1,034,670 on changes made with Johnson Matthey (JMT.BE) selling shares when price went down.
Missed Move: Delaware Value Fund potentially missed $-2,367,666 on changes made with Stanley Inc(SXE) selling shares when price went up.
 
 
   

Delaware Value Fund 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 294,400 $16,118,400 $373,888 2.37 % New Holding 294,400 100.00 $373,888
Allstate Corp (ALL) US ALL Multi-Line Insuran ... 342,500 $16,097,500 $-1,253,550 -7.22 % Sold Some -15,100 -4.22 $55,266
Chevron Corp (CHV.BE) US CHV.BE Oil Comp-Integrate ... 198,000 $19,087,200 $807,840 4.41 % Sold Some -13,900 -6.55 $-56,712
Chubb Corp (CB) US CB Property/Casualty ... 316,100 $15,700,687 $-1,235,951 -7.29 % Sold Some -55,800 -15.00 $218,178
Conocophillips (COP) US COP Oil Comp-Integrate ... 210,100 $19,295,584 $1,342,539 7.47 % Sold Some -27,200 -11.46 $-173,808
Discover Finl Svcs (DC7.BE) US DC7.BE Finance-Credit Car ... 1,062,250 $14,478,468 $-5,587,435 -27.84 % New Holding 1,062,250 100.00 $-5,587,435
Gap Inc (GPS) US GPS Retail-Apparel/Sho ... 897,700 $14,767,165 $-2,432,767 -14.14 % Sold Some -212,800 -19.16 $576,688
Hartford Finl Svcs Group Inc (HIG) US HIG Multi-Line Insuran ... 205,000 $13,243,000 $-1,592,850 -10.73 % New Holding 205,000 100.00 $-1,592,850
Huntington Bancshares Inc (HBAN) US HBAN Super-Regional Ban ... 1,163,800 $6,389,262 $-4,771,580 -42.75 % New Holding 1,163,800 100.00 $-4,771,580
Intel Corp (INTC) US INTC Electronic Compo-S ... 749,500 $15,484,670 $-1,469,020 -8.66 % No Change - - -
International Business Machines C ... (IBM) US IBM Computers 154,600 $18,480,884 $-511,726 -2.69 % New Holding 154,600 100.00 $-511,726
Johnson And Johnson (JNJ) US JNJ Medical Products 265,300 $17,276,336 $-549,171 -3.08 % New Holding 265,300 100.00 $-549,171
Johnson Matthey (JMT.BE) GB JMT.BE Chemicals-Diversif ... None - - - % Sold All -265,300 -100.00 $1,034,670
Limited Brands Inc (LTD) US LTD Retail-Apparel/Sho ... 968,900 $16,374,410 $-2,325,360 -12.43 % Added More 206,400 27.06 $-495,360
Mattel Inc (MTT.BE) US MTT.BE Toys 816,600 $13,800,540 $-1,592,370 -10.34 % Sold Some -3,600 -0.43 $7,020
Morgan Stanley And Co Inc (MS) US MS Finance-Invest Bnk ... 377,200 $13,545,252 $-4,922,460 -26.65 % New Holding 377,200 100.00 $-4,922,460
Motorola Inc (MOT) US MOT Wireless Equipment 1,251,400 $8,834,884 $-3,679,116 -29.40 % Added More 124,600 11.05 $-366,324
Pfizer Inc (PFE) US PFE Medical-Drugs 741,300 $13,158,075 $-1,845,837 -12.30 % Sold Some -60,400 -7.53 $150,396
Progress Energy Ltd (PGN) CA PGN Electric-Integrate ... 361,900 $14,993,517 $-108,570 -0.71 % New Holding 361,900 100.00 $-108,570
Safeway Inc (SWY) US SWY Food-Retail 528,800 $15,197,712 $-1,533,520 -9.16 % Sold Some -82,900 -13.55 $240,410
Squibb Indonesia Tbk Pt (SQBI.JK) ID SQBI.JK Medical-Drugs None - - - % Sold All -635,500 -100.00 $-6,355
Stanley Inc (SXE) US SXE Engineering/R&D Se ... None - - - % Sold All -305,900 -100.00 $-2,367,666
Verizon Communications Inc (VZ) US VZ Telephone-Integrat ... 427,900 $15,297,425 $-1,052,634 -6.43 % New Holding 427,900 100.00 $-1,052,634
Wachovia Corp (WB) US WB Super-Regional Ban ... 430,400 $6,404,352 $-6,249,408 -49.38 % Added More 18,200 4.41 $-264,264
Waste Mgmt Inc (WMI) US WMI Non-Hazardous Wast ... 504,900 $18,408,654 $378,675 2.10 % New Holding 504,900 100.00 $378,675
Wyeth (WYE) US WYE Medical-Drugs 396,700 $18,640,933 $975,882 5.52 % No Change - - -
Xerox Corp (XRX) US XRX Office Automation& ... 1,104,900 $14,894,052 $-618,744 -3.98 % No Change - - -
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Listed 27 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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