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Van Kampen Growth And Income Fund

 Fund Type: MULTI-CAP GROWTH Report Date: 2008-01-28 Current Value: $6,015,275,331 Total Performance: 1.64 %
 
Worst Move: Van Kampen Growth And Income Fund potentially lost $-10,416,040 on changes made with Abbott Labs (ABT) buying shares when price went down.
Best Move: Van Kampen Growth And Income Fund potentially made $35,462,012 on changes made with Yahoo Inc (YHOO) buying shares when price went up.
Good Save: Van Kampen Growth And Income Fund potentially saved $13,070,860 on changes made with Fifth Third Bancorp (FITB) selling shares when price went down.
Missed Move: Van Kampen Growth And Income Fund potentially missed $-2,857,806 on changes made with Mcdonalds Corp(MCD) selling shares when price went up.
 
 
   

Van Kampen Growth And Income 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 4,778,000 $259,254,280 $-10,416,040 -3.86 % New Holding 4,778,000 100.00 $-10,416,040
Altria Group Inc (MO) US MO Tobacco 1,958,900 $43,644,292 $-103,292,797 -70.29 % Added More 5,900 0.30 $-311,107
Bank Of America Corp (IKJ) DE IKJ - 2,046,903 $49,944,433 $-532,195 -1.05 % Added More 6,200 0.30 $-1,612
Boston Scientific Corp (BSX) US BSX Medical Instrument ... 4,871,300 $63,911,456 $6,186,551 10.71 % New Holding 4,871,300 100.00 $6,186,551
Bristol Myers Squibb Co (BRM.BE) US BRM.BE Medical-Drugs 7,543,100 $166,400,786 $-5,959,049 -3.45 % Added More 22,700 0.30 $-17,933
Chubb Corp (CB) US CB Property/Casualty ... 2,982,600 $156,049,632 $4,801,986 3.17 % Added More 9,000 0.30 $14,490
Cigna Corp (CI) US CI Life/Health Insura ... 957,000 $38,844,630 $-8,756,550 -18.39 % Sold Some -700,800 -42.27 $6,412,320
Citigroup Inc (C) US C Finance-Invest Bnk ... 5,432,800 $114,740,736 $-35,476,184 -23.61 % Added More 16,400 0.30 $-107,092
Coca Cola Ag (KO) CH KO Beverages-Non-Alco ... 3,552,000 $208,253,760 $-2,770,560 -1.31 % Sold Some -222,500 -5.89 $173,550
Conagra Foods Inc (CAG) US CAG Food-Misc/Diversif ... 2,175,100 $50,853,838 $4,415,453 9.50 % Added More 6,600 0.30 $13,398
Conocophillips (COP) US COP Oil Comp-Integrate ... 1,972,580 $180,293,812 $29,568,974 19.61 % Added More 5,900 0.29 $88,441
Covidien Limited (COV) BM COV Medical Products 1,614,175 $76,963,864 $7,731,898 11.16 % New Holding 1,614,175 100.00 $7,731,898
Devon Energy Corp (DVN) US DVN Oil Comp-Explor&Pr ... 491,200 $58,280,880 $17,290,240 42.18 % Added More 1,500 0.30 $52,800
Embarq Corp (EQ) US EQ Telecom Services 1,053,273 $48,819,204 $2,064,415 4.41 % Added More 3,200 0.30 $6,272
Emc Corp (EMC) US EMC Computers-Memory D ... 1,208,500 $20,617,010 $181,275 0.88 % New Holding 1,208,500 100.00 $181,275
Entergy Corp (ETR) US ETR Electric-Integrate ... 2,014,600 $242,517,548 $27,076,224 12.56 % Added More 6,100 0.30 $81,984
Exxon Mobil Corp (XOM) US XOM Oil Comp-Integrate ... 1,395,300 $126,553,710 $7,771,821 6.54 % Added More 4,200 0.30 $23,394
Fifth Third Bancorp (FITB) US FITB Super-Regional Ban ... None - - - % Sold All -2,014,000 -100.00 $13,070,860
Firstenergy Corp (FE) US FE Electric-Integrate ... 1,802,300 $140,146,848 $14,544,561 11.57 % Added More 5,400 0.30 $43,578
Fortune Brands Inc (FO) US FO Consumer Products- ... 326,137 $22,509,976 $662,058 3.03 % Added More 20,300 6.63 $41,209
General Elec Co (GE) US GE Diversified Manufa ... 6,346,700 $193,130,081 $-27,227,343 -12.35 % Sold Some -972,100 -13.28 $4,170,309
Hewlett Packard Co (HPQ) US HPQ Computers 2,152,000 $96,753,920 $2,496,320 2.64 % Added More 1,202,200 126.57 $1,394,552
Home Depot Inc (HD) US HD Retail-Building Pr ... 1,726,000 $46,205,020 $-4,090,620 -8.13 % Sold Some -1,253,600 -42.07 $2,971,032
Intel Corp (INTC) US INTC Electronic Compo-S ... 5,204,600 $121,839,686 $16,238,352 15.37 % Added More 1,694,300 48.26 $5,286,216
Jpmorgan Chase And Co (JPM) US JPM Finance-Invest Bnk ... 6,677,482 $282,591,038 $-21,701,817 -7.13 % Added More 20,100 0.30 $-65,325
Kimberly Clark Corp (KMB) US KMB Consumer Products- ... 775,500 $48,693,645 $-868,560 -1.75 % Added More 2,300 0.29 $-2,576
Kraft Foods Inc (KFT) US KFT Food-Misc/Diversif ... 3,772,577 $120,684,738 $5,847,494 5.09 % New Holding 3,772,577 100.00 $5,847,494
Marathon Oil Corp (MRO) US MRO Oil Comp-Integrate ... 514,900 $26,666,671 $880,479 3.41 % New Holding 514,900 100.00 $880,479
Marsh And Mclennan Cos Inc (MMC) US MMC Insurance Brokers 8,523,500 $228,600,270 $-7,415,445 -3.14 % No Change - - -
Mcdonalds Corp (MCD) US MCD Retail-Restaurants 901,500 $52,043,595 $6,003,990 13.04 % Sold Some -429,100 -32.24 $-2,857,806
Micron Technology Inc (MU) US MU Electronic Compo-S ... 5,528,900 $45,392,269 $8,901,529 24.39 % New Holding 5,528,900 100.00 $8,901,529
Newell Rubbermaid Inc (NWL) US NWL Home Decoration Pr ... 955,900 $18,716,522 $-5,075,829 -21.33 % Sold Some -37,200 -3.74 $197,532
Newmont Mng Corp (NMM.BE) US NMM.BE Gold Mining 3,107,600 $152,552,084 $-13,082,996 -7.89 % Added More 303,800 10.83 $-1,278,998
Occidental Pete Corp (OXY) US OXY Oil Comp-Explor&Pr ... 2,189,200 $204,339,928 $62,983,284 44.55 % Added More 6,600 0.30 $189,882
Office Depot Inc (ODP) US ODP Retail-Office Supp ... 2,970,432 $36,922,470 $-3,950,675 -9.66 % New Holding 2,970,432 100.00 $-3,950,675
Oracle Corp (ORCL) US ORCL Enterprise Softwar ... 1,224,100 $26,905,718 $2,105,452 8.48 % New Holding 1,224,100 100.00 $2,105,452
Pfizer Inc (PFE) US PFE Medical-Drugs 3,278,400 $64,027,152 $-11,343,264 -15.05 % No Change - - -
Procter And Gamble Ag (PG) CH PG Cosmetics&Toiletri ... 1,811,000 $118,203,970 $-36,220 -0.03 % Added More 5,500 0.30 $-110
Raytheon Co (RTN) US RTN Aerospace/Defense 2,462,500 $153,881,625 $-1,797,625 -1.15 % Added More 7,400 0.30 $-5,402
Schering Plough Corp (SGP) US SGP Medical-Drugs 10,745,100 $206,628,273 $-4,405,491 -2.08 % Added More 32,400 0.30 $-13,284
Schlumberger Ltd (SLB) AN SLB Oil-Field Services 1,594,740 $159,521,842 $33,170,592 26.25 % New Holding 1,594,740 100.00 $33,170,592
Sprint Nextel Corp (S) US S Telephone-Integrat ... 3,113,397 $27,024,286 $-4,016,282 -12.93 % Sold Some -4,675,500 -60.02 $6,031,395
Starbucks Corp (SBUX) US SBUX Retail-Restaurants 2,893,288 $49,041,232 $-7,840,810 -13.78 % New Holding 2,893,288 100.00 $-7,840,810
Symantec Corp (SYMC) US SYMC Internet Security 3,517,200 $72,665,352 $13,365,360 22.53 % New Holding 3,517,200 100.00 $13,365,360
Time Warner Inc (TWX) US TWX Multimedia 14,336,900 $228,100,079 $9,462,354 4.32 % Added More 43,200 0.30 $28,512
Travelers Cos Inc (TRV) US TRV Property/Casualty ... 3,640,686 $175,881,541 $1,128,613 0.64 % No Change - - -
Verizon Communications Inc (VZ) US VZ Telephone-Integrat ... 6,558,814 $243,200,823 $-6,755,578 -2.70 % Added More 19,800 0.30 $-20,394
Wal Mart Stores Inc (WMT) US WMT Retail-Discount 6,542,900 $364,766,675 $46,062,016 14.45 % Added More 19,700 0.30 $138,688
Williams Cos Inc (WMB.BE) US WMB.BE Pipelines 1,897,400 $72,290,940 $12,390,022 20.68 % Added More 5,700 0.30 $37,221
Wyeth (WYE) US WYE Medical-Drugs 3,903,200 $167,759,536 $5,191,256 3.19 % Added More 176,400 4.73 $234,612
Yahoo Inc (YHOO) US YHOO Web Portals/Isp 5,109,800 $141,643,656 $35,462,012 33.39 % New Holding 5,109,800 100.00 $35,462,012
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Listed 51 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
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