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Kenmare Capital Partners L L C

 
Page Created: 2008-12-02 08:45:00-08
 
Fund Type: INSTITUTION Report Date: 2008-11-14 Current Value: $217,002,059 Total Performance: 7.59 %
 
   

Kenmare Capital Partners L L C
Highlights

Worst Move: Kenmare Capital Partners L L C potentially lost $-500,767 on changes made with Liberty Global Inc (LBTYB) buying shares when price went down.
Best Move: Kenmare Capital Partners L L C potentially made $867,600 on changes made with Ameristar Casinos Inc (ASCA) buying shares when price went up.
Good Save: Kenmare Capital Partners L L C potentially saved $1,622,196 on changes made with Carters Inc (CRI) selling shares when price went down.
Missed Move: Kenmare Capital Partners L L C potentially missed $-553,004 on changes made with Cambrex Corp(CBM) selling shares when price went up.
 

Kenmare Capital Partners L L C
Contact Information

712 Fifth Avenue, Ninth Floor,New York Ny 10119,
Phone: 212.521.5987, Fax: , Website:

Kenmare Capital Partners L L C
Symbols

Kenmare Capital Partners L L C
Recent Source SEC Filings

2008-11-14 http://www.sec.gov/Archives/edgar/data/1324869/0001315863-08-000248.txt
2008-08-14 http://www.sec.gov/Archives/edgar/data/1324869/0001315863-08-000189.txt
 

Kenmare Capital Partners L L C
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
American Eagle Outfitters Inc (AEO) US AEO Retail-Apparel/Sho ... 616,300 $5,916,480 $443,736 8.10 % No Change - - -
Ameristar Casinos Inc (ASCA) US ASCA Casino Hotels 578,400 $4,430,544 $867,600 24.35 % New Holding 578,400 100.00 $867,600
Amrep Corp (AXR) US AXR Bldg-Residential/C ... None - - - % Sold All -19,361 -100.00 $39,303
Berkshire Hathaway Inc (BRK.A) US BRK.A Reinsurance 49 % No Change - - -
Cambrex Corp (CBM) US CBM Medical-Biomedical ... 747,192 $2,600,228 $403,484 18.36 % Sold Some -1,024,082 -57.81 $-553,004
Carters Inc (CRI) US CRI Apparel Manufactur ... None - - - % Sold All -2,079,739 -100.00 $1,622,196
Cnx Gas Corp (CXG) US CXG Oil Comp-Explor An ... 43,775 $1,360,089 $109,875 8.78 % New Holding 43,775 100.00 $109,875
Comcast Corp (CCT) US CCT - 763,958 $14,102,665 $-863,273 -5.76 % Sold Some -505,000 -39.79 $570,650
Convergys Corp (CVG) US CVG Commercial Service ... 1,324,884 $8,333,520 $1,139,400 15.83 % Sold Some -98,900 -6.94 $-85,054
Cooper Cos Incthe (COO) US COO Medical Products 51,800 $694,120 $-101,010 -12.70 % No Change - - -
Emc Corpmassachusetts (EMC) US EMC Computers-Memory D ... 5,763,340 $60,918,504 $3,400,371 5.91 % Sold Some -241,100 -4.01 $-142,249
Exchange Fs Group Plc (EXH.BE) US EXH.BE E-Services/Consult ... 652,595 $13,449,983 $1,109,412 8.98 % Added More 145,300 28.64 $247,010
Gentek Inc (GETI) US GETI Diversified Manufa ... 462,690 $8,522,750 $-407,167 -4.55 % No Change - - -
Isle Of Capri Casinos Inc (ISLE) US ISLE Gambling (Non-Hote ... 626,000 $2,103,360 $68,860 3.38 % New Holding 626,000 100.00 $68,860
Kadant Inc (KAI) US KAI Machinery-General ... 700,923 $10,499,827 $196,258 1.90 % Added More 113,750 19.37 $31,850
Kirklands Inc (KIRK) US KIRK Retail-Home Furnis ... None - - - % Sold All -117,495 -100.00 $-54,048
Liberty Global Inc (LBTYB) US LBTYB Broadcast Serv/Pro ... 1,115,000 $14,941,000 $-1,839,750 -10.96 % Added More 303,495 37.39 $-500,767
Morgans Hotel Group Co (MHGC) US MHGC Hotels And Motels 515,000 $2,060,000 $108,150 5.54 % New Holding 515,000 100.00 $108,150
Nii Holdings Inc (NIHD) US NIHD Cellular Telecom 404,647 $7,866,338 $1,080,407 15.92 % Sold Some -154,853 -27.67 $-413,458
Pinnacle Entertainment Inc (PNK) US PNK Gambling (Non-Hote ... 3,249,196 $18,520,417 $5,296,189 40.04 % Added More 295,600 10.00 $481,828
Sprint Nextel Corp (S) US S Telephone-Integrat ... 2,836,971 $7,915,149 $1,390,116 21.30 % Added More 700,000 32.75 $343,000
Symantec Corp (SYMC) US SYMC Internet Security 65,842 $792,079 $-11,852 -1.47 % No Change - - -
Unisource Energy Corp (UNS) US UNS Electric-Integrate ... 779,797 $21,888,902 $1,777,937 8.84 % No Change - - -
Vistaprint Ltd (VPRT) FR VPRT Printing-Commercia ... None - - - % Sold All -100,000 -100.00 $-358,000
Whole Foods Market Inc (WFMI) US WFMI Food-Retail 953,318 $10,086,104 $1,143,982 12.79 % Added More 170,600 21.79 $204,720
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Listed 25 holdings.
 

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