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Litespeed Management Llc

 
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Page Created: 2008-10-06 00:48:00-07

 
Fund Type: INSTITUTION Report Date: 2008-08-13 Current Value: $94,915,092 Total Performance: -17.42 %
 
Worst Move: Litespeed Management Llc potentially lost $-5,943,078 on changes made with Tyson Foods Inc (TSN) buying shares when price went down.
Best Move: Litespeed Management Llc potentially made $687,671 on changes made with Provident Bankshares Corp (PBKS) buying shares when price went up.
Good Save: Litespeed Management Llc potentially saved $1,555,590 on changes made with Genesco Inc (GCO) selling shares when price went down.
Missed Move: Litespeed Management Llc potentially missed $0 on changes made with Dillards Inc(DDS) selling shares when price went up.
 
 
   

Litespeed 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
Alliance One Intl Inc (AOI) US AOI Tobacco 1,034,200 $3,929,960 $-610,178 -13.43 % New Holding 1,034,200 100.00 $-610,178
Anheuser Busch Cos Inc (ABC.BE) US ABC.BE Brewery 240,000 $15,300,000 $-878,400 -5.42 % New Holding 240,000 100.00 $-878,400
Charlotte Russe Hldg Inc (CHIC) US CHIC Retail-Apparel/Sho ... 626,338 $6,100,532 $-1,471,894 -19.43 % Added More 326,600 108.96 $-767,510
Clear Channel Communicationsinc (CCU) US CCU Broadcast Serv/Pro ... 290,700 $9,064,026 $-1,395,360 -13.34 % New Holding 290,700 100.00 $-1,395,360
Diebold Inc (DBD) US DBD Computers-Integrat ... 121,100 $3,959,970 $-721,756 -15.41 % New Holding 121,100 100.00 $-721,756
Dillards Inc (DDS) US DDS Retail-Regnl Dept ... None - - - % Sold All -207,500 -100.00 $0
Eagle Matls Inc (EXP) US EXP Bldg Prod-Cement/A ... 510,700 $9,590,946 $-3,125,484 -24.57 % Added More 467,900 1093.22 $-2,863,548
Genesco Inc (GCO) US GCO Retail-Apparel/Sho ... None - - - % Sold All -777,795 -100.00 $1,555,590
Macys Inc (M) US M Retail-Regnl Dept ... None - - - % Sold All -100,500 -100.00 $549,735
Nrdc Acquisition Corp (NAQ) US NAQ Specified Purpose ... 1,764,000 $15,417,360 $-1,164,240 -7.02 % No Change - - -
Provident Bankshares Corp (PBKS) US PBKS Commer Banks-Easte ... 234,700 $2,661,498 $687,671 34.83 % New Holding 234,700 100.00 $687,671
Saks Inc (SKS) US SKS Retail-Major Dept ... None - - - % Sold All -182,500 -100.00 $487,275
Sears Hldgs Corp (SHLD) US SHLD Retail-Major Dept ... None - - - % Sold All -11,000 -100.00 $31,130
Slm Corp (ISM) US ISM - 860,400 $8,724,456 $-4,844,052 -35.70 % Sold Some -246,400 -22.26 $1,387,232
Tyson Foods Inc (TSN) US TSN Food-Meat Products 1,261,800 $14,737,824 $-5,943,078 -28.73 % New Holding 1,261,800 100.00 $-5,943,078
Universal Corp Va (UVV) US UVV Tobacco 113,000 $5,428,520 $-555,960 -9.29 % New Holding 113,000 100.00 $-555,960
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Listed 16 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!
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