MFFAIS - Mutual Fund Facts About Individual Stocks       

 

Click here for Free Industry Resources!

 
 
Home | About | News | Terms | Contact | Help | FAQ | Funds | Institutions | Stocks | Rankings
 0  1  2  3  4  5  6  7  8  9  A  B  C  D  E  F  G  H  I  J  K  L  M  N  O  P  Q  R  S  T  U  V  W  X  Y  Z

We now allow advertisers/sponsors the ability to have exclusive advertising on an individual institution page like this for only $1,000 for the year! Go to our advertiser page for more details
 
 Fund Type: INSTITUTION Report Date: 2008-07-18 Current Value: $1,219,855,976 Total Performance: 2.45 %
 
Worst Move: Botti Brown Asset Management Llc potentially lost $-3,786,127 on changes made with Mirant Corp (MIR) buying shares when price went down.
Best Move: Botti Brown Asset Management Llc potentially made $12,621,167 on changes made with Viropharma Inc (VPHM) buying shares when price went up.
Good Save: Botti Brown Asset Management Llc potentially saved $1,625,580 on changes made with Cadence Design Sys Inc (CDNS) selling shares when price went down.
Missed Move: Botti Brown Asset Management Llc potentially missed $-866,466 on changes made with Plantronics Inc(PLT) selling shares when price went up.
 
 
   

Botti Brown Asset Management Llc Details

Click on column headings to sort!
Stock Country Symbol Industry Current Shares Current Value Value Chng. Return Activity Shares Chng. Shares Chg.% Results
Broadridge Finl Solutions Inc (BR) US BR Data Processing/Mg ... 1,102,000 $22,106,120 $-1,002,820 -4.33 % No Change - - -
Cadence Design Sys Inc (CDNS) US CDNS Electronic Design ... None - - - % Sold All -738,900 -100.00 $1,625,580
Cal Maine Foods Inc (CALM) US CALM Food-Misc/Diversif ... 454,270 $18,297,996 $1,053,906 6.11 % New Holding 454,270 100.00 $1,053,906
Candela Corp (CLZR) US CLZR Medical Laser Syst ... 700,980 $2,046,862 $322,451 18.69 % New Holding 700,980 100.00 $322,451
Dollar Finl Corp (DLLR) US DLLR Commercial Serv-Fi ... 355,500 $5,613,345 $-760,770 -11.93 % New Holding 355,500 100.00 $-760,770
Dress Barn Inc (DBRN) US DBRN Retail-Apparel/Sho ... 1,278,376 $20,581,854 $2,569,536 14.26 % New Holding 1,278,376 100.00 $2,569,536
Dryships Inc (DRYS) MH DRYS Transport-Marine 84,700 $6,211,051 $-298,991 -4.59 % No Change - - -
Exelon Corp (EXC) US EXC Electric-Integrate ... 440,800 $34,100,288 $-2,671,248 -7.26 % No Change - - -
Fifth Third Bancorp (FITB) US FITB Super-Regional Ban ... 1,516,800 $22,903,680 $2,381,376 11.60 % New Holding 1,516,800 100.00 $2,381,376
Global Pmts Inc (GPN) US GPN Data Processing/Mg ... None - - - % Sold All -249,000 -100.00 $-393,420
International Rectifier Corp (IRF) US IRF Electronic Compo-S ... 426,900 $9,263,730 $1,545,378 20.02 % New Holding 426,900 100.00 $1,545,378
Interoil Ag (IOC) DE IOC Oil Comp-Explor&Pr ... None - - - % Sold All -23,100 -100.00 $-24,948
Invacare Corp (IVC) US IVC Medical Products 380,300 $10,024,708 $2,220,952 28.46 % New Holding 380,300 100.00 $2,220,952
Javo Beverage Inc (JAVO.PK) US JAVO.PK Coffee 302,100 $175,218 $9,063 5.45 % New Holding 302,100 100.00 $9,063
Johnson And Johnson (JNJ) US JNJ Medical Products 374,100 $26,639,661 $1,268,199 4.99 % No Change - - -
Lca Vision Inc (LCAV) US LCAV Medical Laser Syst ... 887,200 $5,207,864 $771,864 17.40 % New Holding 887,200 100.00 $771,864
Madden Steven Ltd (SHOO) US SHOO Footwear&Related A ... 776,058 $19,486,816 $1,916,863 10.90 % New Holding 776,058 100.00 $1,916,863
Maidenform Brands Inc (MFB) US MFB Apparel Manufactur ... 319,900 $4,769,709 $-214,333 -4.30 % New Holding 319,900 100.00 $-214,333
Maximus Inc (MMS) US MMS Consulting Service ... 545,400 $19,727,118 $719,928 3.78 % No Change - - -
Medivation Inc (MDVN) US MDVN Medical-Biomedical ... 737,000 $16,567,760 $2,601,610 18.62 % New Holding 737,000 100.00 $2,601,610
Meredith Corp (MDP) US MDP Multimedia 619,800 $17,267,628 $1,673,460 10.73 % New Holding 619,800 100.00 $1,673,460
Mi Developments Inc (MIM) CA MIM Real Estate Oper/D ... 270,200 $5,474,252 $-253,988 -4.43 % New Holding 270,200 100.00 $-253,988
Mirant Corp (MIR) US MIR Independ Power Pro ... 1,205,773 $36,341,998 $-3,786,127 -9.43 % New Holding 1,205,773 100.00 $-3,786,127
Nalco Hldg Co (NLC) US NLC Water Treatment Sy ... None - - - % Sold All -65,800 -100.00 $-59,878
National City Corp (NCC) US NCC Super-Regional Ban ... 2,996,300 $14,801,722 $1,198,520 8.81 % New Holding 2,996,300 100.00 $1,198,520
Nutracea (NTQ2.BE) US NTQ2.BE Vitamins&Nutrition ... 500,000 $280,000 $25,000 9.80 % New Holding 500,000 100.00 $25,000
On Semiconductor Corp (ONNN) US ONNN Electronic Compo-S ... 1,077,700 $10,389,028 $387,972 3.87 % New Holding 1,077,700 100.00 $387,972
Plantronics Inc (PLT) US PLT Telecommunication ... 367,600 $9,542,896 $1,224,108 14.71 % Sold Some -260,200 -41.44 $-866,466
Qwest Communications Intl Inc (Q) US Q Telephone-Integrat ... 5,258,900 $19,457,930 $210,356 1.09 % No Change - - -
Radnet Inc (RDNT) US RDNT Mri/Medical Diag I ... 445,418 $2,681,416 $-75,721 -2.74 % New Holding 445,418 100.00 $-75,721
Remotemdx Inc (G7F.F) US G7F.F Electronic Secur D ... 181,500 $208,725 $-12,705 -5.73 % New Holding 181,500 100.00 $-12,705
Savient Pharmaceuticals Inc (BY7.BE) US BY7.BE Medical-Biomedical ... 469,300 $10,366,837 $-1,900,665 -15.49 % New Holding 469,300 100.00 $-1,900,665
Sonicwall Inc (SNWL) US SNWL Internet Security 2,185,201 $13,395,282 $-131,112 -0.96 % New Holding 2,185,201 100.00 $-131,112
Systemax Inc (SYX) US SYX Retail-Computer Eq ... 50,900 $777,752 $-61,589 -7.33 % No Change - - -
Telus Corporation (TULCF.PK) CA TULCF.PK Telecom Services 511,800 $19,392,102 $-1,197,612 -5.81 % New Holding 511,800 100.00 $-1,197,612
Tenneco Inc (TEN) US TEN Auto/Trk Prts&Equi ... 2,363,900 $34,843,886 $2,151,149 6.57 % Added More 1,163,900 96.99 $1,059,149
Terremark Worldwide Inc (TMRK) US TMRK Web Hosting/Design None - - - % Sold All -332,954 -100.00 $-342,943
Terrestar Corp (TSTRP.PK) US TSTRP.PK - 806,425 $633,043,625 $0 0.00 % New Holding 806,425 100.00 $0
Titan Intl Inc Ill (TWI) US TWI Auto/Trk Prts&Equi ... None - - - % Sold All -37,600 -100.00 $438,040
Toro Co (TTC) US TTC Garden Products 383,700 $15,766,233 $3,069,600 24.17 % New Holding 383,700 100.00 $3,069,600
Trans1 Inc (3TR.BE) US 3TR.BE Medical Instrument ... 335,176 $2,768,554 $-475,950 -14.66 % New Holding 335,176 100.00 $-475,950
Tyco Electronics Ltd (TEL) BM TEL Electronic Compo-M ... 779,625 $25,002,574 $-3,360,184 -11.84 % No Change - - -
Tyco International Ltd Bermuda (TYC) BM TYC Diversified Manufa ... 842,625 $35,474,513 $682,526 1.96 % Added More 7,900 0.94 $6,399
Unitedhealth Group Inc (UNH) US UNH Medical-Hmo 531,000 $15,627,330 $2,936,430 23.13 % New Holding 531,000 100.00 $2,936,430
Viropharma Inc (VPHM) US VPHM Medical-Drugs 2,529,292 $37,509,400 $12,621,167 50.71 % New Holding 2,529,292 100.00 $12,621,167
Wellpoint Inc (WLP) US WLP Medical-Hmo 299,800 $15,718,514 $1,852,764 13.36 % New Holding 299,800 100.00 $1,852,764
 0  1  2  3  4  5  6  7  8  9  A  B  C  D  E  F  G  H  I  J  K  L  M  N  O  P  Q  R  S  T  U  V  W  X  Y  Z
Listed 46 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!
Note: For security reasons, only (A-Z,a-z,0-9,space,period,colon,comma,forward slash,at) can be inputed - all others are stripped automatically!
Copyright © 2007 All rights reserved. Please see our Terms of Use.