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Ramsey Asset Management

 
Page Created: 2008-12-02 08:59:00-08
 
Fund Type: INSTITUTION Report Date: 2008-10-28 Current Value: $42,037,705 Total Performance: -0.38 %
 
   

Ramsey Asset Management
Highlights

Worst Move: Ramsey Asset Management potentially lost $-476,315 on changes made with Goodyear Tire And Rubber Cothe (GT) buying shares when price went down.
Best Move: Ramsey Asset Management potentially made $471,582 on changes made with Sanderson Farms Inc (SAFM) buying shares when price went up.
Good Save: Ramsey Asset Management potentially saved $103,774 on changes made with Dollar Thrifty Automotive Group (DTG) selling shares when price went down.
Missed Move: Ramsey Asset Management potentially missed $-4,267,306 on changes made with Penn National Gaming Inc(PENN) selling shares when price went up.
 

Ramsey Asset Management
Contact Information

8200 Greensboro Drive, Suite 1550,Mclean Va 22102,
Phone: 703 269 1900, Fax: , Website:

Ramsey Asset Management
Symbols

Ramsey Asset Management
Recent Source SEC Filings

2008-10-28 http://www.sec.gov/Archives/edgar/data/1173329/0001085146-08-001332.txt
2008-07-25 http://www.sec.gov/Archives/edgar/data/1173329/0001085146-08-000836.txt
 

Ramsey Asset Management
Holdings 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
Annaly Capital Management Inc (NLY) US NLY Reits-Mortgage 84,390 $1,212,684 $100,424 9.02 % New Holding 84,390 100.00 $100,424
Ashford Hospitality Trust Inc (AHT) US AHT Reits-Hotels None - - - % Sold All -808,430 -100.00 $-355,709
Assurant Inc (AIZ) US AIZ Multi-Line Insuran ... 45,010 $979,868 $-618,437 -38.69 % Added More 11,900 35.94 $-163,506
Boyd Gaming Corp (BYD) US BYD Casino Hotels None - - - % Sold All -171,670 -100.00 $-3,433
Capitalsource Inc (CSE) US CSE Reits-Diversified 76,290 $397,471 $-152,580 -27.73 % New Holding 76,290 100.00 $-152,580
Dollar Thrifty Automotive Group (DTG) US DTG Rental Auto/Equipm ... None - - - % Sold All -798,260 -100.00 $103,774
Fidelity National Information Ser ... (FIS) US FIS Data Processing/Mg ... None - - - % Sold All -38,700 -100.00 $-50,697
Freightcar America Inc (RAIL) US RAIL Miscellaneous Manu ... 69,142 $1,503,147 $97,490 6.93 % New Holding 69,142 100.00 $97,490
Goldman Sachs Group Incthe (GS) US GS Finance-Invest Bnk ... 9,100 $718,809 $-132,678 -15.58 % New Holding 9,100 100.00 $-132,678
Goodyear Tire And Rubber Cothe (GT) US GT Rubber-Tires 219,500 $1,411,385 $-476,315 -25.23 % New Holding 219,500 100.00 $-476,315
Google Inc (GOOG) US GOOG Web Portals/Isp 6,000 $1,757,760 $-454,740 -20.55 % New Holding 6,000 100.00 $-454,740
Graftech International Ltd (GTI) US GTI Electric Products- ... 183,600 $1,228,284 $-53,244 -4.15 % New Holding 183,600 100.00 $-53,244
International Speedway Corp (ISCA) US ISCA Racetracks None - - - % Sold All -30,280 -100.00 $86,298
Laboratory Corp Of America Holdin ... (LH) US LH Medical Labs And T ... 25,300 $1,603,008 $77,924 5.10 % Added More 6,300 33.15 $19,404
Meritage Homes Corp (MTH) KR MTH Medical Instrument ... None - - - % Sold All -359,496 -100.00 $-1,276,211
Oreilly Automotive Inc (ORLY) US ORLY Retail-Auto Parts 119,570 $3,117,190 $349,144 12.61 % Sold Some -35,400 -22.84 $-103,368
Penn National Gaming Inc (PENN) US PENN Racetracks None - - - % Sold All -536,768 -100.00 $-4,267,306
Phillips-Van Heusen Corp (PVH) US PVH Retail-Apparel/Sho ... 20,100 $350,544 $-106,128 -23.23 % New Holding 20,100 100.00 $-106,128
Pinnacle Entertainment Inc (PNK) US PNK Gambling (Non-Hote ... 94,240 $537,168 $278,008 107.27 % New Holding 94,240 100.00 $278,008
Republic Airways Holdings Inc (RJET) US RJET Airlines 1,498,245 $20,930,483 $584,316 2.87 % Sold Some -115,600 -7.16 $-45,084
Riviera Holdings Corp (RIV) US RIV Casino Hotels None - - - % Sold All -336,859 -100.00 $-269,487
Sanderson Farms Inc (SAFM) US SAFM Poultry 127,800 $3,984,804 $471,582 13.42 % New Holding 127,800 100.00 $471,582
Skechers Usa Inc (SKX) US SKX Footwear And Relat ... 80,200 $965,608 $-43,308 -4.29 % New Holding 80,200 100.00 $-43,308
Slm Corp (ISM) US ISM - 144,810 $1,339,493 $-83,990 -5.90 % Sold Some -37,400 -20.52 $21,692
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Listed 24 holdings.
 

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