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Axial Capital Management Llc

 
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Page Created: 2008-10-12 01:16:00-07

 
Fund Type: INSTITUTION Report Date: 2008-08-14 Current Value: $126,615,965 Total Performance: -25.25 %
 
Worst Move: Axial Capital Management Llc potentially lost $-2,208,362 on changes made with Smithfield Foods Inc (SFD) buying shares when price went down.
Best Move: Axial Capital Management Llc potentially made $116,392 on changes made with Greenhill And Co Inc (GHL) buying shares when price went up.
Good Save: Axial Capital Management Llc potentially saved $3,885,239 on changes made with Capitalsource Inc (CSE) selling shares when price went down.
Missed Move: Axial Capital Management Llc potentially missed $-252,890 on changes made with Standard Pac Corp(SPF) selling shares when price went up.
 
 
   

Axial Capital Management Llc Details

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Stock Country Symbol Industry Current Shares Current Value Value Chng. Return Activity Shares Chng. Shares Chg.% Results
American Cap Strategies Ltd (ACAS) US ACAS Investment Compani ... 140,300 $1,851,960 $-1,324,432 -41.69 % Sold Some -165,200 -54.07 $1,559,488
Anthracite Cap Inc (AHR) US AHR Reits-Mortgage 203,080 $536,131 $-676,256 -55.77 % Sold Some -139,320 -40.68 $463,936
Arbor Rlty Tr Inc (ABR) US ABR Reits-Mortgage 729,905 $3,832,001 $-4,123,963 -51.83 % Added More 285,205 64.13 $-1,611,408
Arthrocare Corp (ARTC) US ARTC Medical Instrument ... 462,725 $11,188,691 $-1,189,203 -9.60 % Sold Some -119,275 -20.49 $306,537
Bare Escentuals Inc (BARE) US BARE Cosmetics&Toiletri ... 284,900 $2,632,476 $-1,099,714 -29.46 % Added More 45,900 19.20 $-177,174
Capitalsource Inc (CSE) US CSE Reits-Diversified 542,060 $5,800,042 $-910,661 -13.57 % Sold Some -2,312,642 -81.01 $3,885,239
Centex Corp (CTX) US CTX Bldg-Residential/C ... None - - - % Sold All -130,000 -100.00 $661,700
Cnet Networks Inc (CNET) US CNET Internet Content-I ... 219,875 % Sold Some -1,110,225 -83.46
Constant Contact Inc (CTCT) US CTCT E-Marketing/Info 123,968 $2,093,820 $-148,762 -6.63 % Sold Some -5,852 -4.50 $7,022
Core Mark Hldg Co Inc (CORE) US CORE Distribution/Whole ... 269,055 $5,523,699 $-2,545,260 -31.54 % Sold Some -131,011 -32.74 $1,239,364
Cousins Pptys Inc (CUZ) US CUZ Reits-Diversified 11,883 $270,338 $-10,576 -3.76 % New Holding 11,883 100.00 $-10,576
Emcore Corp (EMKR) US EMKR Electronic Compo-S ... None - - - % Sold All -750,000 -100.00 $1,695,000
First Bancorp P R (FBP) PR FBP Commer Banks-South ... None - - - % Sold All -263,500 -100.00 $171,275
First Busey Corp (BUSE) US BUSE Commer Banks-Centr ... 35,000 $626,150 $52,500 9.15 % New Holding 35,000 100.00 $52,500
First Indl Rlty Tr Inc (FR) US FR Reits-Warehouse/In ... 120,300 $1,954,875 $-1,011,723 -34.10 % Sold Some -297,700 -71.22 $2,503,657
Fuel Tech Inc (FTEK) US FTEK Pollution Control 115,000 $1,428,300 $-670,450 -31.94 % New Holding 115,000 100.00 $-670,450
Greenhill And Co Inc (GHL) US GHL Finance-Invest Bnk ... 261,759 $17,689,673 $497,342 2.89 % Added More 61,259 30.55 $116,392
Hni Corp (HNI) US HNI Office Furnishings ... None - - - % Sold All -35,000 -100.00 $102,900
Indymac Bancorp Inc (IMB) US IMB Finance-Mtge Loan/ ... 1,077,374 % Added More 217,374 25.27
Istar Finl Inc (SFI-D) US SFI-D Reits-Diversified None - - - % Sold All -1,291,700 -100.00
M And F Worldwide Corp (MFW) US MFW Food-Misc/Diversif ... 552,173 $15,460,844 $-7,851,900 -33.68 % Added More 3,380 0.61 $-48,064
Multi Fineline Electronix Inc (MFLX) US MFLX Circuit Boards None - - - % Sold All -250,000 -100.00 $2,347,500
Omnivision Technologies Inc (OVTI) US OVTI Electronic Compo-S ... None - - - % Sold All -250,000 -100.00 $927,500
Polaris Inds Inc (PII) US PII Recreational Vehic ... 107,620 $3,778,538 $-1,422,736 -27.35 % Added More 17,315 19.17 $-228,904
Qlt Inc (QLTI) CA QLTI Therapeutics 6,112,592 $13,631,080 $-9,413,392 -40.84 % Added More 44,300 0.73 $-68,222
Qualcomm Inc (QCOM) US QCOM Wireless Equipment 222,765 $8,683,380 $-3,869,428 -30.82 % Sold Some -79,335 -26.26 $1,378,049
Sally Beauty Hldgs Inc (SBH) US SBH Retail-Perfume&Cos ... None - - - % Sold All -92,600 -100.00 $163,902
Sierra Wireless Inc (SWIR) CA SWIR Wireless Equipment 1,307,400 $10,328,460 $-5,543,376 -34.92 % Added More 43,800 3.46 $-185,712
Smithfield Foods Inc (SFD) US SFD Food-Meat Products 195,085 $2,678,517 $-2,208,362 -45.18 % New Holding 195,085 100.00 $-2,208,362
Standard Pac Corp (SPF) US SPF Bldg-Residential/C ... 2,543,260 $10,122,175 $2,416,097 31.35 % Sold Some -266,200 -9.47 $-252,890
Starent Networks Corp (SN6.BE) US SN6.BE Networking Product ... 523,880 $5,348,815 $-1,624,028 -23.29 % New Holding 523,880 100.00 $-1,624,028
True Religion Apparel Inc (TRLG) US TRLG Apparel Manufactur ... None - - - % Sold All -325,742 -100.00 $3,146,668
United Cmnty Bks Inc Blairsville ... (UCBI) US UCBI Commer Banks-South ... 100,000 $1,156,000 $-110,000 -8.68 % New Holding 100,000 100.00 $-110,000
Winnebago Inds Inc (WGO) US WGO Bldg-Mobil Home/Mf ... None - - - % Sold All -119,170 -100.00 $225,231
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Listed 34 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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