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Lmm Llc Md

 
Page Created: 2008-12-02 08:46:00-08
 
Fund Type: INSTITUTION Report Date: 2008-11-13 Current Value: $1,302,552,884 Total Performance: 7.49 %
 
   

Lmm Llc Md
Highlights

Worst Move: Lmm Llc Md potentially lost $-3,848,000 on changes made with Xl Capital Ltd (XL) buying shares when price went down.
Best Move: Lmm Llc Md potentially made $20,760,000 on changes made with Assured Guaranty Ltd (AGO) buying shares when price went up.
Good Save: Lmm Llc Md potentially saved $7,226,454 on changes made with Neteasecom (NTES) selling shares when price went down.
Missed Move: Lmm Llc Md potentially missed $-11,884,967 on changes made with Netflix Inc(NFLX) selling shares when price went up.
 

Lmm Llc Md
Contact Information

100 Light St, Baltimore Md 21202,,
Phone: 4104545300, Fax: , Website:

Lmm Llc Md
Symbols

Lmm Llc Md
Recent Source SEC Filings

2008-11-13 http://www.sec.gov/Archives/edgar/data/1135778/0000357235-08-000386.txt
2008-08-14 http://www.sec.gov/Archives/edgar/data/1135778/0000357235-08-000302.txt
 

Lmm Llc Md
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
Aes Corpthe (AES) US AES Electric-Generatio ... 8,000,000 $61,520,000 $2,720,000 4.62 % Added More 56,800 0.71 $19,312
Amazoncom Inc (AMZN) US AMZN E-Commerce/Product ... 3,352,521 $143,152,647 $3,821,874 2.74 % Sold Some -4,635,158 -58.02 $-5,284,080
Ambac Financial Group Inc (ABK) US ABK Financial Guarante ... None - - - % Sold All -7,120,300 -100.00 $-1,068,045
Americredit Corp (ACF) US ACF Finance-Auto Loans 1,405,347 $10,329,300 $3,653,902 54.73 % Sold Some -3,593,753 -71.88 $-9,343,758
Arcelormittal (MT) DE MT Steel-Producers None - - - % Sold All -1,000,000 -100.00 $-4,570,000
Assured Guaranty Ltd (AGO) BM AGO Financial Guarante ... 6,000,000 $67,440,000 $20,760,000 44.47 % New Holding 6,000,000 100.00 $20,760,000
Beazer Homes Usa Inc (BZH) US BZH Bldg-Residential/C ... None - - - % Sold All -2,127,400 -100.00 $21,274
Boyd Gaming Corp (BYD) US BYD Casino Hotels 2,000,000 $8,800,000 $880,000 11.11 % New Holding 2,000,000 100.00 $880,000
Ca Inc (CA) US CA Enterprise Softwar ... 3,675,200 $61,890,368 $3,675,200 6.31 % No Change - - -
Centex Corp (CTX) US CTX Bldg-Residential/C ... 5,500,000 $50,380,000 $605,000 1.21 % Added More 1,500,000 37.50 $165,000
Chimera Investment Corp (CIM) US CIM Reits-Mortgage 1,167,784 $3,479,996 $607,248 21.13 % Sold Some -694,758 -37.30 $-361,274
Cit Group Inc (CIT) US CIT Finance-Commercial 8,500,000 $28,390,000 $-170,000 -0.59 % Added More 520,200 6.51 $-10,404
Cleveland-Cliffs Inc (CLF) US CLF Metal-Iron None - - - % Sold All -900,000 -100.00 $-4,356,000
Convera Corp (CNVR) US CNVR Electronic Forms 4,458,612 $2,273,892 $535,033 30.76 % Sold Some -930,994 -17.27 $-111,719
Crocs Inc (CROX) US CROX Footwear And Relat ... None - - - % Sold All -4,977,300 -100.00 $3,135,699
Delta Air Lines Inc (DAL) US DAL Airlines 4,000,000 $35,240,000 $5,760,000 19.53 % New Holding 4,000,000 100.00 $5,760,000
Eastman Kodak Co (EK) US EK Photo Equipment An ... 8,500,000 $64,345,000 $1,615,000 2.57 % Added More 131,900 1.57 $25,061
Exide Technologies (XIDE) US XIDE Auto/Trk Prts And ... None - - - % Sold All -6,007,978 -100.00 $-5,707,579
Expedia Inc (EXPEW) US EXPEW - 6,950,300 $208,509 $-69,503 -25.00 % No Change - - -
Fairfax Financial Holdings Ltd (FFH) CA FFH Multi-Line Insuran ... None - - - % Sold All -180,000 -100.00 $-2,901,600
Genworth Financial Inc (GNW) US GNW Multi-Line Insuran ... 4,500,000 $6,525,000 $2,025,000 45.00 % New Holding 4,500,000 100.00 $2,025,000
Health Net Inc (HNT) US HNT Medical-Hmo 5,400,000 $48,654,000 $-3,888,000 -7.39 % No Change - - -
Healthsouth Corp (HLS) US HLS Phys Therapy/Rehab ... None - - - % Sold All -266,120 -100.00 $119,754
Housevalues Inc (SOLD) US SOLD Real Estate Mgmnt/ ... 4,590,087 % Sold Some -333,618 -6.77
Istar Financial Inc (SFI-D) BE SFI-D Reits-Diversified 4,853,424 % Sold Some -646,576 -11.75
Jpmorgan Chase And Co (JPM) US JPM Finance-Invest Bnk ... 1,000,000 $31,660,000 $-2,910,000 -8.41 % New Holding 1,000,000 100.00 $-2,910,000
Leap Wireless International Inc (LEAP) US LEAP Cellular Telecom None - - - % Sold All -3,177,300 -100.00 $1,207,374
Lehman Brothers Holdings Inc (LEH) CH LEH Finance-Invest Bnk ... None - - - % Sold All -2,000,000 -100.00
Lennar Corp (LEN.B) US LEN.B Bldg-Residential/C ... 5,000,000 % Added More 1,028,400 25.89
Level 3 Communications Inc (LVLT) US LVLT Telephone-Integrat ... 84,975,191 $79,876,680 $13,596,031 20.51 % Sold Some -14,350,809 -14.44 $-2,296,129
Liz Claiborne Inc (LIZ) US LIZ Retail-Apparel/Sho ... None - - - % Sold All -785,491 -100.00 $1,453,158
Mannkind Corp (MNKD) US MNKD Therapeutics 7,013,353 $22,092,062 $-841,602 -3.66 % Sold Some -3,903,614 -35.75 $468,434
Mbia Inc (MBI) US MBI Financial Guarante ... 3,500,000 $20,475,000 $-1,715,000 -7.72 % New Holding 3,500,000 100.00 $-1,715,000
Meritage Homes Corp (MTH) KR MTH Medical Instrument ... 1,390,400 $17,240,960 $2,544,432 17.31 % Sold Some -978,335 -41.30 $-1,790,353
Monster Worldwide Inc (MNST) US MNST Human Resources 3,000,000 % Added More 210,600 7.55
National City Corp (NCC) US NCC Super-Regional Ban ... 11,185,030 $22,481,910 $-2,460,707 -9.86 % Added More 10,201,650 1037.40 $-2,244,363
Neteasecom (NTES) KY NTES Web Portals/Isp None - - - % Sold All -5,274,784 -100.00 $7,226,454
Netflix Inc (NFLX) US NFLX E-Commerce/Service ... None - - - % Sold All -5,212,705 -100.00 $-11,884,967
Nii Holdings Inc (NIHD) US NIHD Cellular Telecom 4,644,293 $90,285,056 $12,632,477 16.26 % Sold Some -816,707 -14.95 $-2,221,443
Pinnacle Entertainment Inc (PNK) US PNK Gambling (Non-Hote ... None - - - % Sold All -1,501,250 -100.00 $-1,966,638
Pulte Homes Inc (PHM) US PHM Bldg-Residential/C ... 5,796,649 $61,734,312 $11,187,533 22.13 % Sold Some -1,989,446 -25.55 $-3,839,631
Radian Group Inc (RDN) US RDN Financial Guarante ... None - - - % Sold All -806,600 -100.00 $403,300
Red Hat Inc (RHT) US RHT Applications Softw ... 8,651,275 $80,024,294 $-14,361,117 -15.21 % Sold Some -979,925 -10.17 $1,626,676
Ryland Group Inc (RYL) US RYL Bldg-Residential/C ... 3,800,000 $64,486,000 $8,056,000 14.27 % Added More 27,000 0.71 $57,240
Sprint Nextel Corp (S) US S Telephone-Integrat ... 11,500,000 $32,085,000 $9,660,000 43.07 % Sold Some -429,100 -3.59 $-360,444
Sun Microsystems Inc (JAVA) US JAVA Computers 4,439,400 $14,072,898 $-1,997,730 -12.43 % Added More 100,000 2.30 $-45,000
Ual Corp (UAUA) US UAUA Airlines 4,500,000 $50,625,000 $8,640,000 20.57 % Added More 3,315,182 279.80 $6,365,149
United States Steel Corp (X) US X Steel-Producers None - - - % Sold All -400,000 -100.00 $-1,208,000
Wachovia Corp (WB) US WB Super-Regional Ban ... 4,200,000 $23,604,000 $1,890,000 8.70 % New Holding 4,200,000 100.00 $1,890,000
Xl Capital Ltd (XL) KY XL Multi-Line Insuran ... 3,700,000 $18,611,000 $-3,848,000 -17.13 % New Holding 3,700,000 100.00 $-3,848,000
Yahoo Inc (YHOO) US YHOO Web Portals/Isp 7,000,000 $80,570,000 $8,190,000 11.31 % No Change - - -
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Listed 51 holdings.
 

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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!
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