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Elfun Trusts

 
Page Created: 2008-11-19 08:16:00-08
Fund Type: SPECIALTY & MISC Report Date: 2008-09-04 Current Value: $1,040,065,303 Total Performance: -31.01 %
Family of: Elfun Trusts
 
   
 

Elfun Trusts
Highlights

Worst Move: Elfun Trusts potentially lost $-7,341,350 on changes made with Transocean Inc (RIG) buying shares when price went down.
Best Move: Elfun Trusts potentially made $-285,600 on changes made with Monster Worldwide Inc (MNST) buying shares when price went up.
Good Save: Elfun Trusts potentially saved $10,384,500 on changes made with Unitedhealth Group Inc (UNH) selling shares when price went down.
Missed Move: Elfun Trusts potentially missed $-47,500 on changes made with Exxon Mobil Corp(XOM) selling shares when price went up.
 

Elfun Trusts
Contact Information

3001 Summer St, Stamford Ct 06905,,
Phone: 203-708-3133, Fax: , Website:

Elfun Trusts
Symbols

ELFNX

Elfun Trusts
Recent Source SEC Filings

2008-09-04 http://www.sec.gov/Archives/edgar/data/32339/0000821484-08-000088.txt
2008-08-18 http://www.sec.gov/Archives/edgar/data/32339/0000821484-08-000050.txt
2008-05-30 http://www.sec.gov/Archives/edgar/data/32339/0000746687-08-000044.txt
 

Elfun Trusts
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
Abbott Laboratories (ABT) US ABT Medical-Drugs 480,000 $27,153,600 $0 0.00 % No Change - - -
Alleghany Corp (Y) US Y Property/Casualty ... 38,641 $8,692,293 $-3,750,109 -30.13 % Sold Some -1 0.00 $97
Amgen Inc (AMGN) US AMGN Medical-Biomedical ... 1,000,000 $56,340,000 $-4,540,000 -7.45 % No Change - - -
Analog Devices Inc (ADI) US ADI Semicon Compo-Intg ... 600,000 $11,250,000 $-4,464,000 -28.40 % Sold Some -25,000 -4.00 $186,000
Automatic Data Processing Inc (ADP) US ADP Commercial Serv-Fi ... 680,000 $23,949,600 $-6,310,400 -20.85 % No Change - - -
Bed Bath And Beyond Inc (BBBY) US BBBY Retail-Bedding 1,220,000 $23,875,400 $-14,749,800 -38.18 % Added More 30,000 2.52 $-362,700
Carnival Corp (CCL) US CCL Cruise Lines 1,620,000 $30,456,000 $-30,942,000 -50.39 % Added More 20,000 1.25 $-382,000
Cisco Systems Inc (CSCO) US CSCO Networking Product ... 2,550,000 $41,947,500 $-14,866,500 -26.16 % No Change - - -
Cme Group Inc (CME) US CME Finance-Other Serv ... 15,000 $2,803,650 $-2,111,100 -42.95 % New Holding 15,000 100.00 $-2,111,100
Comcast Corp (CCT) US CCT - 3,050,000 $59,932,500 $-12,566,000 -17.33 % Added More 180,000 6.27 $-741,600
Dentsply International Inc (XRAY) US XRAY Dental Supplies An ... 60,000 $1,721,400 $-587,400 -25.44 % No Change - - -
Dover Corp (DOV) BE DOV Diversified Manufa ... 1,550,000 $44,097,500 $-27,590,000 -38.48 % Sold Some -210,000 -11.93 $3,738,000
Ebay Inc (EBAY) US EBAY E-Commerce/Service ... 1,150,000 $14,145,000 $-13,236,500 -48.34 % No Change - - -
Exxon Mobil Corp (XOM) US XOM Oil Comp-Integrate ... 450,000 $34,348,500 $85,500 0.24 % Sold Some -250,000 -35.71 $-47,500
Genentech Inc (DNA) US DNA Medical-Biomedical ... 285,000 $22,979,550 $-4,522,950 -16.44 % New Holding 285,000 100.00 $-4,522,950
Gilead Sciences Inc (GILD) US GILD Therapeutics 120,000 $5,426,400 $-571,200 -9.52 % No Change - - -
Goldman Sachs Group Incthe (GS) US GS Finance-Invest Bnk ... 157,000 $9,738,710 $-15,522,590 -61.44 % Added More 62,000 65.26 $-6,129,940
Hexcel Corp (HXL) US HXL Advanced Materials ... 20,000 $148,200 $-242,200 -62.03 % No Change - - -
Intel Corp (INTC) US INTC Electronic Compo-S ... 200,000 $2,622,000 $-1,482,000 -36.11 % No Change - - -
Intuit Inc (INTU) US INTU Applications Softw ... 2,450,000 $52,111,500 $-20,408,500 -28.14 % Added More 280,000 12.90 $-2,332,400
Johnson And Johnson (JNJ) US JNJ Medical Products 770,000 $46,885,300 $-7,361,200 -13.56 % No Change - - -
Jpmorgan Chase And Co (JPM) US JPM Finance-Invest Bnk ... 390,000 $12,534,600 $-2,250,300 -15.22 % No Change - - -
Lincare Holdings Inc (LNCR) US LNCR Medical-Outptnt/Ho ... 1,310,000 $33,352,600 $-10,139,400 -23.31 % No Change - - -
Lowes Cos Inc (LOW) US LOW Retail-Building Pr ... 1,470,000 $28,077,000 $-9,804,900 -25.88 % Added More 50,000 3.52 $-333,500
Medtronic Inc (MDT) US MDT Medical Instrument ... 1,070,000 $33,812,000 $-23,732,600 -41.24 % Added More 30,000 2.88 $-665,400
Metlife Inc (MET-A) US MET-A Multi-Line Insuran ... 130,000 % No Change - - -
Microsoft Corp (MSFT) US MSFT Applications Softw ... 2,160,000 $42,379,200 $-14,536,800 -25.54 % Sold Some -290,000 -11.83 $1,951,700
Molex Inc (MOLXA) US MOLXA Electric Products- ... 2,180,000 $23,958,200 $-24,110,800 -50.15 % No Change - - -
Monsanto Co (MON) US MON Agricultural Chemi ... 430,000 $32,168,300 $-12,422,700 -27.85 % Sold Some -120,000 -21.81 $3,466,800
Monster Worldwide Inc (MNST) US MNST Human Resources 220,000 $2,642,200 $-1,570,800 -37.28 % Added More 40,000 22.22 $-285,600
Navteq Corp (NVT) US NVT Data Processing/Mg ... 35,000 % Sold Some -30,000 -46.15
Paychex Inc (PAYX) US PAYX Commercial Serv-Fi ... 1,260,000 $32,432,400 $-10,395,000 -24.27 % No Change - - -
Pepsico Incnc (PEP) US PEP Beverages-Non-Alco ... 950,000 $50,483,000 $-14,487,500 -22.29 % Added More 100,000 11.76 $-1,525,000
Pfizer Inc (PFE) US PFE Medical-Drugs 1,000,000 $16,290,000 $-2,380,000 -12.74 % No Change - - -
Qualcomm Inc (QCOM) US QCOM Wireless Equipment 1,530,000 $48,669,300 $-25,596,900 -34.46 % No Change - - -
Research In Motion Ltd (RIMM) CA RIMM Computers 220,000 $10,395,000 $-13,252,800 -56.04 % Added More 60,000 37.50 $-3,614,400
Schlumberger Ltd (SLB) AN SLB Oil-Field Services 830,000 $41,690,900 $-30,303,300 -42.09 % Sold Some -40,000 -4.59 $1,460,400
Stericycle Inc (SRCL) US SRCL Hazardous Waste Di ... 55,000 $3,362,150 $235,400 7.52 % No Change - - -
Time Warner Inc (TWX) US TWX Multimedia 700,000 $5,880,000 $-4,942,000 -45.66 % No Change - - -
Transocean Inc (RIG) KY RIG Oil-Field Services 410,000 $28,847,600 $-20,758,300 -41.84 % Added More 145,000 54.71 $-7,341,350
Unitedhealth Group Inc (UNH) US UNH Medical-Hmo None - - - % Sold All -1,150,000 -100.00 $10,384,500
Vca Antech Inc (WOOF) US WOOF Veterinary Diagnos ... 255,000 $4,470,150 $-3,309,900 -42.54 % New Holding 255,000 100.00 $-3,309,900
Vodafone Group Plc (VOD) GB VOD Cellular Telecom 250,000 $4,832,500 $-1,210,000 -20.02 % Sold Some -250,000 -50.00 $1,210,000
Western Union Cothe (WU) US WU Commercial Serv-Fi ... 2,950,000 $35,547,500 $-42,126,000 -54.23 % Added More 100,000 3.50 $-1,428,000
Wyeth (WYE) US WYE Medical-Drugs 170,000 $6,035,000 $-943,500 -13.52 % No Change - - -
Yahoo Inc (YHOO) US YHOO Web Portals/Isp 800,000 $9,240,000 $-4,960,000 -34.92 % Sold Some -575,000 -41.81 $3,565,000
Zimmer Holdings Inc (ZMH) US ZMH Medical Products 310,000 $12,341,100 $-8,866,000 -41.80 % Sold Some -160,000 -34.04 $4,576,000
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Listed 47 holdings.
 

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