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Gafisa Sa (GFA)

Industry: Bldg-Residential/CommerCountry: Brazil
 
Number of funds
Global RankCountry RankIndustry Rank
Owned:
112
2481514
Score:
0.34
2186--
Brand New:
34
1181211
Increased Existing:
17
2955--
No Change:
8
3672--
Reduced Existing:
24
2375--
Liquidated:
14
2786616
No Comparison Available:
15
---
Funds buying shares:
51
2154513
Buying %:
52.57 %
1972117
Funds not buying/selling shares:
8
---
Neutral %:
8.24 %
---
Funds selling shares:
38
2556615
Selling %:
39.17 %
67954136
   

Gafisa Sa (GFA) Details

Click on column headings to sort!
Fund Fund Type Fund Perf. Report Date Current Shares Current Value Value Chng. Return Activity Shares Chng. Shares Chg.% Results
Advent Capital Management Institution -12.01 % 2008-05-22 27,700 $797,483 $-287,526 -26.49 % New Holding 27,700 100.00 % $-287,526
Alliancebernstein International Growth Fund Inc (Alliancebernstein International Growth Fund Inc) International Multi-C ... -14.20 % 2008-05-23 None - - - % Sold All -336,000 -100.00 % $3,467,520
Alliancebernstein International Research Growth Fund Inc (Alliancebernstein International Research Growth Fund Inc) International Large-C ... -6.61 % 2008-04-07 29,000 $834,910 $-264,190 -24.03 % No Compare - - % -
Alliancebernstein Value Portfolio (Alliancebernstein Variable Products Series Fund Inc) Multi-Cap Value % 2008-05-30 None - - - % Sold All -18,600 -100.00 % $295,554
Alpine Global Premier Properties Fund Institution -53.17 % 2008-03-28 733,300 $21,111,707 $-4,553,793 -17.74 % No Change 733,300 0 % -
Alpine Woods Capital Investors Llc Institution -16.34 % 2008-05-09 589,800 $16,980,342 $-7,419,684 -30.40 % Sold Some -20,000 -3.27 % $251,600
American International Group Inc Institution -11.31 % 2008-05-15 6,686 $192,490 $-82,973 -30.12 % Sold Some -543 -7.51 % $6,739
Ameriprise Financial Inc Institution -12.36 % 2008-05-06 158 $4,549 $-2,282 -33.40 % Sold Some -1,154 -87.95 % $16,664
Amvescap Plc Institution % 2008-05-14 202,321 % Added More 45,021 28.62 %
Arience Capital Management Lp Institution -20.00 % 2008-05-15 1,580,347 $45,498,190 $-19,612,106 -30.12 % Sold Some -166,413 -9.52 % $2,065,185
Axa Institution -12.46 % 2008-05-15 1,865,500 $53,707,745 $-23,150,855 -30.12 % Sold Some -8,700 -0.46 % $107,967
Baltimore Capital Management Inc Institution -12.48 % 2008-05-15 6,000 $172,740 $-74,460 -30.12 % Sold Some -800 -11.76 % $9,928
Bank Of America Corp Institution -10.84 % 2008-05-12 102,330 $2,946,081 $-1,443,876 -32.89 % Sold Some -35,350 -25.67 % $498,789
Barclays Global Investors Uk Holdings Ltd Institution -9.22 % 2008-04-30 1,723,904 $49,631,196 $-25,444,823 -33.89 % New Holding 1,723,904 100.00 % $-25,444,823
Barclays Plc Institution % 2008-05-14 395,400 % Added More 392,800 15107.69 %
Bear Stearns And Co Inc Institution -10.08 % 2008-05-15 1,000 $28,790 $-12,410 -30.12 % New Holding 1,000 100.00 % $-12,410
Beekman Capital Management Ltd Institution -12.22 % 2008-05-02 700 $20,153 $-12,397 -38.08 % New Holding 700 100.00 % $-12,397
Blackrock Global Allocation Portfolio (Blackrock Series Fund Inc) Global Flex Port -9.54 % 2008-05-30 None - - - % Sold All -39,000 -100.00 % $619,710
Blackrock Global Growth Vi Fund (Blackrock Variable Series Funds Inc) Multi-Cap Growth -7.22 % 2008-05-30 None - - - % Sold All -120,000 -100.00 % $1,906,800
Blackrock Latin America Fund Inc (Blackrock Latin America Fund Inc) Latin American -14.43 % 2008-04-29 612,000 $17,619,480 $-5,428,440 -23.55 % New Holding 612,000 100.00 % $-5,428,440
Blue Ridge Capital Holdings Llc Institution -12.66 % 2008-05-15 None - - - % Sold All -230,000 -100.00 % $2,854,300
Bogle Investment Management L P Institution -10.24 % 2008-05-15 None - - - % Sold All -6,974 -100.00 % $86,547
Cabot Money Management Inc Institution -7.91 % 2008-04-29 48,355 $1,392,140 $-428,909 -23.55 % New Holding 48,355 100.00 % $-428,909
Caxton Associates Llc Institution -11.49 % 2008-05-15 73,500 $2,116,065 $-912,135 -30.12 % New Holding 73,500 100.00 % $-912,135
Citigroup Inc Institution % 2008-05-14 13,467 % New Holding 13,467 100.00 %
Clarivest Asset Management Llc Institution -7.67 % 2008-04-23 None - - - % Sold All -26,400 -100.00 % $191,400
Claymore Advisors Llc Institution -11.94 % 2008-05-09 89,261 $2,569,824 $-1,122,903 -30.40 % Added More 496 0.55 % $-6,240
Cohen Lawrence B Institution -7.40 % 2008-04-24 7,500 $215,925 $-55,050 -20.31 % Sold Some -8,000 -51.61 % $58,720
Columbia Marsico International Opportunities Fund (Columbia Funds Series Trust) Global Flex Port -21.75 % 2008-05-08 1,949,968 % No Compare - - % -
Columbia Marsico International Opportunities Master (Columbia Funds Master Investment Trust Llc) Global Flex Port -21.75 % 2008-05-08 1,949,968 % No Compare - - % -
Credit Agricole S A Institution % 2008-05-14 7,850 % New Holding 7,850 100.00 %
Credit Suisse/ Institution -11.30 % 2008-05-15 16,500 $475,035 $-204,765 -30.12 % New Holding 16,500 100.00 % $-204,765
Discovery Fund (Wells Fargo Funds Trust) Specialty & Misc -5.49 % 2008-07-02 100,800 $2,902,032 $-218,736 -7.00 % No Compare - - % -
Dlibj Asset Management Co Ltd Institution -11.57 % 2008-05-07 1,211 $34,865 $-14,568 -29.47 % New Holding 1,211 100.00 % $-14,568
Eaton Vance Structured Emerging Markets Fund (Eaton Vance Mutual Funds Trust) Emerging Markets -4.30 % 2008-06-23 9,300 $267,747 $-65,751 -19.71 % No Compare - - % -
Emerging Growth Portfolio (Wells Fargo Master Trust) Emerging Markets -11.81 % 2008-05-30 17,000 $489,430 $-270,130 -35.56 % No Compare - - % -
Emerging Markets Equity Portfolio (Universal Institutional Funds Inc) Emerging Markets -11.07 % 2008-05-29 215,170 $6,194,744 $-3,016,683 -32.74 % New Holding 215,170 100.00 % $-3,016,683
Fidelity Europe Fund (Fidelity Investment Trust) European Region 5.54 % 2008-03-31 855,600 $24,632,724 $-3,910,092 -13.69 % No Compare - - % -
Fidelity International Ltd Institution % 2008-05-14 554,900 % Sold Some -17,200 -3.00 %
Fmr Corp Institution % 2008-05-14 5,197,095 % Added More 1,896,200 57.44 %
Fortis Investments Management Usa Inc. Institution -9.87 % 2008-05-09 9,401 $270,655 $-118,265 -30.40 % New Holding 9,401 100.00 % $-118,265
Galleon Management L P Institution % 2008-05-14 20,000 % New Holding 20,000 100.00 %
Geneva Investment Management Of Chicago Llc Institution -9.40 % 2008-05-06 11,545 $332,381 $-166,710 -33.40 % New Holding 11,545 100.00 % $-166,710
Global Emerging Markets Fund (Scottish Widows Investment Partnership Trust) Emerging Markets -3.67 % 2008-06-06 17,205 $495,332 $-209,557 -29.72 % No Change 17,205 0 % -
Gmo Emerging Countries Fund (Gmo Trust) Emerging Markets -8.60 % 2008-05-05 None - - - % Sold All -22,900 -100.00 % $373,957
Gmo Emerging Markets Fund (Gmo Trust) Emerging Markets -6.38 % 2008-05-05 None - - - % Sold All -507,900 -100.00 % $8,294,007
Goldman Sachs Group Inc Institution -10.79 % 2008-05-13 3,881 $111,734 $-52,743 -32.06 % Sold Some -7,715 -66.53 % $104,847
Gould Investment Partners Llc Institution 4.34 % 2008-05-08 27,775 % New Holding 27,775 100.00 %
Growth Fund (Lincoln Variable Insurance Products Trust) Multi-Cap Growth -9.26 % 2008-05-30 114,070 $3,284,075 $-1,812,572 -35.56 % Sold Some -5,200 -4.35 % $82,628
Growth Portfolio (Morgan Stanley Select Dimensions Investment Series) Small-Cap Growth -12.49 % 2008-05-29 16,043 $461,878 $-224,923 -32.74 % No Compare - - % -
Hartwell J M Limited Partnership Institution 9.26 % 2008-05-08 17,300 % New Holding 17,300 100.00 %
Information Portfolio (Morgan Stanley Variable Investment Series) Specialty & Misc -10.62 % 2008-05-29 34,360 $989,224 $-481,727 -32.74 % No Change 34,360 0 % -
International Equity Index Fund (John Hancock Funds Ii) Global Flex Port -10.95 % 2008-05-05 2,288 $65,872 $-37,363 -36.19 % No Compare - - % -
International Equity Index Trust A (John Hancock Trust) Global Flex Port -11.89 % 2008-05-30 1,828 $52,628 $-29,047 -35.56 % No Change 1,828 0 % -
International Equity Index Trust B (John Hancock Trust) Global Flex Port -11.67 % 2008-05-30 2,791 $80,353 $-44,349 -35.56 % New Holding 2,791 100.00 % $-44,349
International Growth Portfolio (Janus Aspen Series) Multi-Cap Growth -19.79 % 2008-05-08 854,945 % No Change 854,945 0 % -
International Opportunities Fund (John Hancock Funds Ii) International Multi-C ... -8.17 % 2008-05-05 463,383 $13,340,797 $-7,567,044 -36.19 % No Compare - - % -
International Opportunities Trust (John Hancock Trust) Global Flex Port -8.69 % 2008-05-30 442,391 $12,736,437 $-7,029,593 -35.56 % Sold Some -69,000 -13.49 % $1,096,410
Jane Street Holding Llc Institution -14.75 % 2008-05-15 27,343 $787,205 $-339,327 -30.12 % Added More 10,200 59.49 % $-126,582
Janus Adviser International Growth Fund (Janus Adviser Series) International Multi-C ... -6.92 % 2008-06-27 492,875 $14,189,871 $-2,804,459 -16.50 % No Change 492,875 0 % -
Janus Overseas Fund (Janus Investment Fund) International Multi-C ... -9.31 % 2008-03-28 2,748,390 $79,126,148 $-17,067,502 -17.74 % No Compare - - % -
Latin American Discovery Fund Inc Institution -20.30 % 2008-05-28 117,040 $3,369,582 $-1,501,623 -30.82 % New Holding 117,040 100.00 % $-1,501,623
Legal & General Group Plc Institution % 2008-05-14 None - - - % Sold All -14,900 -100.00 %
Loring Wolcott And Coolidge Fiduciary Advisors Institution -9.42 % 2008-05-15 None - - - % Sold All -1,000 -100.00 % $12,410
Marsico Capital Management Llc Institution -14.26 % 2008-05-15 131,592 $3,788,534 $-1,633,057 -30.12 % Sold Some -43,174 -24.70 % $535,789
Merrill Lynch And Co Inc Institution -11.70 % 2008-05-01 281,368 $8,100,585 $-4,532,838 -35.87 % Sold Some -19,025 -6.33 % $306,493
Metamerican Growth Portfolio (Met Investors Series Trust) Multi-Cap Growth -11.10 % 2008-05-16 40,315 $1,160,669 $-620,045 -34.82 % New Holding 40,315 100.00 % $-620,045
Millennium Management L.L.C. Institution -10.30 % 2008-05-15 49,730 $1,431,727 $-617,149 -30.12 % New Holding 49,730 100.00 % $-617,149
Money Market Fund (Wells Fargo Funds Trust) Specialty & Misc -8.27 % 2008-06-04 34,000 $978,860 $-363,460 -27.07 % No Compare - - % -
Morgan Stanley Institution -11.91 % 2008-05-15 6,482,341 $186,626,597 $-80,445,852 -30.12 % Added More 4,028,434 164.16 % $-49,992,866
Morgan Stanley Emerging Markets Fund Inc Institution -10.83 % 2008-05-28 64,910 $1,868,759 $-832,795 -30.82 % New Holding 64,910 100.00 % $-832,795
Neuberger Berman Llc Institution -10.85 % 2008-05-12 59,591 $1,715,625 $-840,829 -32.89 % Added More 16,466 38.18 % $-232,335
New M&I Corp Institution -10.64 % 2008-05-12 235,998 $6,794,382 $-3,329,932 -32.89 % No Compare - - % -
Newgate Capital Management Llc Institution -15.97 % 2008-04-30 774,446 $22,296,300 $-11,430,823 -33.89 % Sold Some -33,584 -4.15 % $495,700
Norman Fields Gottscho Capital Management Llc Institution -1.77 % 2008-07-02 112,813 $3,247,886 $-244,804 -7.00 % Added More 3,073 2.80 % $-6,668
Occ Value (Allianz Funds) Large-Cap Value -10.93 % 2008-05-30 107,080 $3,082,833 $-1,701,501 -35.56 % Sold Some -214,895 -66.74 % $3,414,682
Oppenheimer International Small Co Fund (Oppenheimer International Small Co Fund) International Small-M ... -18.60 % 2008-04-25 2,000,000 $57,580,000 $-16,000,000 -21.74 % New Holding 2,000,000 100.00 % $-16,000,000
Pate Capital Partners Lp Institution -7.13 % 2008-04-16 60,000 $1,727,400 $-506,400 -22.66 % Sold Some -40,000 -40.00 % $337,600
Peconic Partners Llc Institution 8.03 % 2008-05-02 25,000 $719,750 $-442,750 -38.08 % New Holding 25,000 100.00 % $-442,750
Pequot Capital Management Inc Institution -14.43 % 2008-05-15 29,000 $834,910 $-359,890 -30.12 % Sold Some -165,300 -85.07 % $2,051,373
Pinnacle Associates Ltd Institution -7.09 % 2008-04-23 49,992 $1,439,270 $-362,442 -20.11 % Sold Some -19,125 -27.67 % $138,656
Pnc Financial Services Group Inc Institution -9.82 % 2008-05-12 3,000 $86,370 $-42,330 -32.89 % New Holding 3,000 100.00 % $-42,330
Prescott Group Capital Management Llc Institution -4.02 % 2008-05-12 10,000 $287,900 $-141,100 -32.89 % New Holding 10,000 100.00 % $-141,100
Raymond James And Associates Institution % 2008-05-14 62,100 % Sold Some -6,600 -9.60 %
Rbc Professional Trader Group Llc Institution -12.75 % 2008-05-13 None - - - % Sold All -150 -100.00 % $2,039
Renaissance Technologies Corp Institution -10.96 % 2008-05-15 764,600 $22,012,834 $-9,488,686 -30.12 % Added More 481,400 169.98 % $-5,974,174
Rothschild Investment Corp Institution -12.37 % 2008-05-02 74,200 $2,136,218 $-1,314,082 -38.08 % Sold Some -2,400 -3.13 % $42,504
Rs Investment Management Co Llc Institution -7.39 % 2008-05-09 None - - - % Sold All -120,370 -100.00 % $1,514,255
Russell Frank Co Institution -10.65 % 2008-05-13 137,650 $3,962,944 $-1,870,664 -32.06 % New Holding 137,650 100.00 % $-1,870,664
Seabridge Investment Advisors Llc Institution -11.56 % 2008-05-07 9,325 $268,467 $-112,180 -29.47 % Added More 2,925 45.70 % $-35,188
Segall Bryant And Hamill Institution % 2008-05-14 22,000 % No Change 22,000 0 % -
Sena Weller Rohs Williams Inc Institution -10.04 % 2008-04-10 11,000 $316,690 $-78,430 -19.84 % New Holding 11,000 100.00 % $-78,430
Shapiro Robert N Institution -9.90 % 2008-05-07 36 $1,036 $-433 -29.47 % New Holding 36 100.00 % $-433
Shaw D E And Co Inc Institution -11.26 % 2008-05-15 18,248 $525,360 $-226,458 -30.12 % New Holding 18,248 100.00 % $-226,458
Sloane Robinson Llp Institution -15.33 % 2008-05-06 892,500 $25,695,075 $-12,887,700 -33.40 % Added More 462,100 107.36 % $-6,672,724
Spdr Japan Etf (Streettracks Index Shares Funds) Japanese -9.21 % 2008-06-03 None - - - % Sold All -10,001 -100.00 % $128,213
Ta Idex Marsico International Growth (Transamerica Idex Mutual Funds) International Multi-C ... 11.05 % 2008-03-31 325,627 $9,374,801 $-1,488,115 -13.69 % No Compare - - % -
Talon Asset Management Llc Institution % 2008-05-14 70,000 % No Compare - - % -
Td Asset Management Inc Institution -10.69 % 2008-05-06 6,297 $181,291 $-90,929 -33.40 % New Holding 6,297 100.00 % $-90,929
Texas Capital Bancshares Inc Institution -8.02 % 2008-04-22 5,478 $157,712 $-43,550 -21.63 % Sold Some -2,460 -30.99 % $19,557
Tremblant Capital Group Institution -14.15 % 2008-05-15 847,239 $24,392,011 $-10,514,236 -30.12 % Added More 136,462 19.19 % $-1,693,493
Trilogy Global Advisors Llc Institution % 2008-05-14 795,566 % Added More 527,915 197.24 %
Turner International Core Growth Fund (Turner Funds) International Large-C ... -15.41 % 2008-06-09 2,540 $73,127 $-29,667 -28.86 % Added More 400 18.69 % $-4,672
Turner Investment Partners Inc Institution -9.53 % 2008-05-09 21,030 $605,454 $-264,557 -30.40 % New Holding 21,030 100.00 % $-264,557
Ubs Ag Institution -11.99 % 2008-05-13 19,424 $559,217 $-263,972 -32.06 % Added More 4,485 30.02 % $-60,951
Us Bancorp De Institution -9.58 % 2008-05-15 982 $28,272 $-12,187 -30.12 % New Holding 982 100.00 % $-12,187
Van Kampen Emerging Markets Fund (Van Kampen Series Fund Inc) Emerging Markets -13.26 % 2008-05-27 115,430 $3,323,230 $-1,145,066 -25.62 % New Holding 115,430 100.00 % $-1,145,066
Vt Discovery Fund (Wells Fargo Variable Trust) Specialty & Misc -9.46 % 2008-05-28 72,500 $2,087,275 $-930,175 -30.82 % Sold Some -20,400 -21.95 % $261,732
Wells Fargo And Co Institution -10.56 % 2008-05-15 522,818 $15,051,930 $-6,488,171 -30.12 % Added More 697 0.13 % $-8,650
World Asset Management Inc Institution % 2008-05-14 18,038 % Added More 216 1.21 %
Yorktown Management & Research Co Inc Institution -12.34 % 2008-05-13 17,000 $489,430 $-231,030 -32.06 % No Change 17,000 0 % -
Zweig Dimenna Partners L P Institution -10.96 % 2008-05-07 385,950 $11,111,501 $-4,642,979 -29.47 % Sold Some -54,850 -12.44 % $659,846
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Listed 112 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!
Note: All amounts in USD, converted using Intrabank Exchange Rate on Date Reported/Today
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