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 Fund Type: INSTITUTION Report Date: 2008-08-08 Current Value: $180,241,176 Total Performance: 4.05 %
 
Worst Move: Hocky Management Co Llc potentially lost $-73,008 on changes made with Monster Worldwide Inc (MNST) buying shares when price went down.
Best Move: Hocky Management Co Llc potentially made $1,044,582 on changes made with Commscope Inc (COJ.BE) buying shares when price went up.
Good Save: Hocky Management Co Llc potentially saved $811,227 on changes made with Baxter Intl Inc (BAX) selling shares when price went down.
Missed Move: Hocky Management Co Llc potentially missed $-748,576 on changes made with American Eagle Outfitters Inc(AFG.BE) selling shares when price went up.
 
 
   

Hocky Management Co Llc Details

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Stock Country Symbol Industry Current Shares Current Value Value Chng. Return Activity Shares Chng. Shares Chg.% Results
Altra Hldgs Inc (AIMC) US AIMC Machinery-General ... 761,265 $13,695,157 $1,385,502 11.25 % Sold Some -222,204 -22.59 $-404,411
American Eagle Outfitters Inc (AFG.BE) US AFG.BE Retail-Apparel/Sho ... None - - - % Sold All -476,800 -100.00 $-748,576
Barnes Group Inc (B) US B Diversified Manufa ... None - - - % Sold All -274,403 -100.00 $-502,157
Baxter Intl Inc (BAX) US BAX Medical Products None - - - % Sold All -239,300 -100.00 $811,227
Cheesecake Factory Inc (CAKE) US CAKE Retail-Restaurants None - - - % Sold All -447,583 -100.00 $510,245
Chemtura Corp (CEM) US CEM Chemicals-Specialt ... None - - - % Sold All -239,000 -100.00 $23,900
Coach Inc (COY.BE) US COY.BE Retail-Apparel/Sho ... None - - - % Sold All -291,000 -100.00 $-611,100
Commscope Inc (COJ.BE) US COJ.BE Telecommunication ... 183,260 $9,113,520 $1,044,582 12.94 % New Holding 183,260 100.00 $1,044,582
Covidien Limited (COV) BM COV Medical Products 262,429 $14,189,536 $81,353 0.57 % Sold Some -30,000 -10.25 $-9,300
Discover Finl Svcs (DC7.BE) US DC7.BE Finance-Credit Car ... None - - - % Sold All -342,097 -100.00 $-721,825
Dst Sys Inc (DST) US DST Computer Services 51,457 $3,177,470 $-123,497 -3.74 % Sold Some -8,594 -14.31 $20,626
Eagle Matls Inc (EXP) US EXP Bldg Prod-Cement/A ... 356,412 $10,881,258 $1,821,265 20.10 % Sold Some -145,600 -29.00 $-744,016
Electronic Arts Inc (ERTS) US ERTS Entertainment Soft ... None - - - % Sold All -62,500 -100.00 $-135,000
Esco Technologies Inc (ESE) US ESE Diversified Manufa ... None - - - % Sold All -118,700 -100.00 $-713,387
Expedia Inc (EXPEW) US EXPEW - 37,503 $3,000 $-1,500 -33.33 % No Change - - -
Fiserv Inc (FISV) US FISV Data Processing/Mg ... 23,939 $1,241,477 $11,491 0.93 % Sold Some -353,261 -93.65 $-169,565
Hexcel Corp (HXL) US HXL Advanced Materials ... 675,400 $14,034,812 $486,288 3.58 % Sold Some -85,000 -11.17 $-61,200
Invesco Plc (3IW.BE) US 3IW.BE Invest Mgmnt/Advis ... 301,424 $7,749,611 $726,432 10.34 % Sold Some -190,010 -38.66 $-457,924
Kennametal Inc (KMT) US KMT Mach Tools&Rel Pro ... 347,382 $12,238,268 $896,246 7.90 % Sold Some -2,218 -0.63 $-5,722
Key Energy Services Inc (KEG) US KEG Oil-Field Services 510,811 $8,581,625 $577,216 7.21 % Sold Some -320,000 -38.51 $-361,600
Kroger Co (KR) US KR Food-Retail 88,000 $2,430,560 $-131,120 -5.11 % No Change - - -
Macys Inc (FDO.BE) US FDO.BE Retail-Regnl Dept ... None - - - % Sold All -345,900 -100.00 $-660,669
Monster Worldwide Inc (MNST) US MNST Human Resources 458,166 $8,952,564 $-119,123 -1.31 % Added More 280,800 158.31 $-73,008
Nalco Hldg Co (NLC) US NLC Water Treatment Sy ... 711,338 $16,268,300 $-163,608 -0.99 % Sold Some -215,000 -23.20 $49,450
Pentair Inc (PNR) US PNR Diversified Manufa ... None - - - % Sold All -427,657 -100.00 $-213,829
Ross Stores Inc (ROST) US ROST Retail-Apparel/Sho ... None - - - % Sold All -212,170 -100.00 $-135,789
Southern Un Co (SUG) US SUG Gas-Distribution 650,891 $16,962,219 $91,125 0.54 % Added More 163,346 33.50 $22,868
Td Ameritrade Hldg Corp (AMTD) US AMTD Finance-Invest Bnk ... None - - - % Sold All -492,897 -100.00 $202,088
Tenneco Inc (TEN) US TEN Auto/Trk Prts&Equi ... 549,800 $8,032,578 $313,386 4.05 % Sold Some -221,500 -28.71 $-126,255
Thomas And Betts Corp (TNB) US TNB Electronic Connect ... 234,691 $10,814,561 $152,549 1.43 % Added More 51,823 28.33 $33,685
United States Cellular Corp (UZG) US UZG - 59,700 $1,405,935 $20,895 1.50 % New Holding 59,700 100.00 $20,895
Valspar Corp (VAL) US VAL Coatings/Paint 589,692 $13,952,113 $17,691 0.12 % Sold Some -273,208 -31.66 $-8,196
Virgin Media Inc (VMEDW) US VMEDW - 351,600 $24,612 $0 0.00 % Added More 130,000 58.66 $0
Wyeth (WYE) US WYE Medical-Drugs 150,000 $6,492,000 $-70,500 -1.07 % New Holding 150,000 100.00 $-70,500
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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
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