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Otter Creek Management Inc

 
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Page Created: 2008-10-12 01:27:00-07

 
Fund Type: INSTITUTION Report Date: 2008-08-19 Current Value: $119,489,098 Total Performance: -25.83 %
 
Worst Move: Otter Creek Management Inc potentially lost $-12,348,000 on changes made with Motorola Inc (MOT) buying shares when price went down.
Best Move: Otter Creek Management Inc potentially made $83,750 on changes made with Lance Inc (LNCE) buying shares when price went up.
Good Save: Otter Creek Management Inc potentially saved $485,013 on changes made with Newfield Expl Co (NFX) selling shares when price went down.
Missed Move: Otter Creek Management Inc potentially missed $-12,012 on changes made with 3com Corp(COMS) selling shares when price went up.
 
 
   

Otter Creek Management Inc Details

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Stock Country Symbol Industry Current Shares Current Value Value Chng. Return Activity Shares Chng. Shares Chg.% Results
3com Corp (COMS) US COMS Networking Product ... None - - - % Sold All -109,200 -100.00 $-12,012
Airtran Hldgs Inc (AAI) US AAI Airlines 130,000 $254,800 $-105,300 -29.24 % New Holding 130,000 100.00 $-105,300
Altria Group Inc (MO) US MO Tobacco 64,000 $1,098,240 $-244,480 -18.20 % Added More 32,000 100.00 $-122,240
Aquila (ALAQU.PA) FR ALAQU.PA - 3,224,464 $17,444,350 $-3,998,335 -18.64 % Added More 1,832,132 131.58 $-2,271,844
Blackrock Inc (BLQA.BE) US BLQA.BE Invest Mgmnt/Advis ... 20,000 $3,017,200 $-1,195,200 -28.37 % New Holding 20,000 100.00 $-1,195,200
Carrols Restaurant Group Inc (TAST) US TAST Retail-Restaurants 170,000 $428,400 $-479,400 -52.80 % Added More 85,000 100.00 $-239,700
China Life Insurance Company Limi ... (LFC) CN LFC Life/Health Insura ... None - - - % Sold All -27,700 -100.00 $149,580
Conagra Foods Inc (CAG) US CAG Food-Misc/Diversif ... 57,000 $1,012,890 $-251,940 -19.91 % Added More 28,500 100.00 $-125,970
Dean Foods Co (DF) US DF Food-Dairy Product ... None - - - % Sold All -15,500 -100.00 $73,780
Dow Chem Co (DOW) US DOW Chemicals-Diversif ... 187,400 $4,572,560 $-1,832,772 -28.61 % Added More 93,700 100.00 $-916,386
Emerson Elec Co (EMR) US EMR Electric Products- ... 61,972 $2,068,625 $-865,749 -29.50 % Added More 30,986 100.00 $-432,874
Financial Inds Corp (FNIN.PK) US FNIN.PK Life/Health Insura ... 1,148,874 $8,214,449 $0 0.00 % Added More 574,437 100.00 $0
Florida Pub Utils Co (FPU) US FPU Electric-Distribut ... 54,102 $535,610 $-165,011 -23.55 % Added More 34,402 174.62 $-104,926
Flow Intl Corp (FLOW) US FLOW Machinery-General ... 130,004 $557,717 $-410,813 -42.41 % Added More 65,002 100.00 $-205,406
Gap Inc (GPS) US GPS Retail-Apparel/Sho ... 60,800 $840,256 $-315,552 -27.30 % Added More 30,400 100.00 $-157,776
Gulf Is Fabrication Inc (GIFI) US GIFI Oil Field Mach&Equ ... 42,676 $761,340 $-974,720 -56.14 % Added More 2,664 6.65 $-60,846
Harry Winston Diamond Corp (HWD) CA HWD Diamonds/Precious ... 48,400 $402,204 $-486,420 -54.73 % Sold Some -1,600 -3.20 $16,080
Hmn Finl Inc (HMNF) US HMNF S&L/Thrifts-Centra ... 66,816 $601,344 $-339,425 -36.07 % New Holding 66,816 100.00 $-339,425
Independent Bk Corp Mich (IBCP) US IBCP Commer Banks-Centr ... 44,000 $171,600 $-150,920 -46.79 % Added More 22,000 100.00 $-75,460
Infocus Corp (INFS) US INFS Computers-Peripher ... 755,876 $733,200 $-415,732 -36.18 % Added More 377,938 100.00 $-207,866
Intel Corp (INTC) US INTC Electronic Compo-S ... None - - - % Sold All -25,000 -100.00 $210,000
International Paper Co (IP) US IP Paper&Related Prod ... None - - - % Sold All -20,200 -100.00 $170,892
Kraft Foods Inc (KFT) US KFT Food-Misc/Diversif ... 124,400 $3,389,900 $-673,004 -16.56 % Added More 62,200 100.00 $-336,502
Lancaster Colony Corp (LANC) US LANC Diversified Manufa ... 140,000 $4,956,000 $-210,000 -4.06 % Added More 90,000 180.00 $-135,000
Lance Inc (LNCE) US LNCE Food-Misc/Diversif ... 250,000 $5,275,000 $167,500 3.27 % Added More 125,000 100.00 $83,750
Mb Finl Inc (MBFI) US MBFI Commer Banks-Centr ... 54,000 $1,580,040 $103,140 6.98 % Added More 27,000 100.00 $51,570
Mbt Finl Corp (MBTF) US MBTF Commer Banks-Centr ... 31,726 $128,490 $-30,457 -19.16 % Added More 15,863 100.00 $-15,228
Monogram Biosciences Inc (MGRM) US MGRM Medical-Biomedical ... 120,000 $58,800 $-50,400 -46.15 % Added More 60,000 100.00 $-25,200
Monroe Bancorp (MROE) US MROE Commer Banks-Centr ... 200,266 $1,972,620 $-342,455 -14.79 % Added More 158,883 383.93 $-271,690
Motorola Inc (MOT) US MOT Wireless Equipment 2,500,000 $11,700,000 $-12,600,000 -51.85 % Added More 2,450,000 4900.00 $-12,348,000
Nabors Industries Ltd (NBR) BM NBR Oil&Gas Drilling None - - - % Sold All -9,200 -100.00 $183,264
New York Times Co (NYT) US NYT Publishing-Newspap ... 254,420 $3,460,112 $58,517 1.72 % Added More 127,210 100.00 $29,258
Newfield Expl Co (NFX) US NFX Oil Comp-Explor&Pr ... None - - - % Sold All -20,100 -100.00 $485,013
Newmont Mng Corp (NMM.BE) US NMM.BE Gold Mining 75,600 $2,527,308 $-678,888 -21.17 % Added More 37,800 100.00 $-339,444
Nokia Corp (NOK) US NOK Wireless Equipment 81,800 $1,286,714 $-765,648 -37.30 % Added More 30,900 60.70 $-289,224
Old Rep Intl Corp (ORI) US ORI Multi-Line Insuran ... 730,000 $6,460,500 $-919,800 -12.46 % Added More 445,000 156.14 $-560,700
Olin Corp (OLN) US OLN Chemicals-Diversif ... 71,400 $977,466 $-979,608 -50.05 % Added More 35,700 100.00 $-489,804
Patterson Uti Energy Inc (PTEN) US PTEN Oil&Gas Drilling 60,000 $703,200 $-880,800 -55.60 % Added More 30,000 100.00 $-440,400
Pentair Inc (PNR) US PNR Diversified Manufa ... 40,000 $1,147,200 $-330,800 -22.38 % Added More 20,000 100.00 $-165,400
Potlatch Corp (PCH) US PCH Paper&Related Prod ... 110,000 $4,917,000 $-95,700 -1.90 % Added More 55,000 100.00 $-47,850
Sandisk Corp (SNDK) US SNDK Computers-Memory D ... 92,000 $1,464,640 $67,160 4.80 % Added More 46,000 100.00 $33,580
Southwest Gas Corp (SWX) US SWX Gas-Distribution 156,980 $3,704,728 $-946,589 -20.35 % Added More 78,490 100.00 $-473,295
Stryker Corp (SYK) US SYK Medical Products 50,800 $2,596,896 $-816,864 -23.92 % Added More 30,400 149.01 $-488,832
Sun Microsystems Inc (JAVA) US JAVA Computers 101,600 $487,680 $-546,608 -52.84 % Added More 50,800 100.00 $-273,304
Time Warner Inc (TWX) US TWX Multimedia 200,000 $1,838,000 $-1,306,000 -41.53 % Added More 100,000 100.00 $-653,000
Trimble Nav Ltd (TRMB) US TRMB Electronic Measur ... 51,600 $999,492 $-774,516 -43.65 % Added More 5,800 12.66 $-87,058
Tyson Foods Inc (TSN) US TSN Food-Meat Products 80,000 $843,200 $-440,000 -34.28 % Added More 40,000 100.00 $-220,000
United Technologies Corp (UTX) US UTX Aerospace/Defense- ... 26,200 $1,247,906 $-453,784 -26.66 % Added More 13,100 100.00 $-226,892
Valero Energy Corp (VLO) US VLO Oil Refining&Marke ... 138,400 $2,532,720 $-2,092,608 -45.24 % Added More 79,200 133.78 $-1,197,504
Wabco Hldgs Inc (WBC) US WBC Auto/Trk Prts&Equi ... 70,000 $1,563,100 $-1,492,400 -48.84 % Added More 35,000 100.00 $-746,200
Weyerhaeuser Co (WY) US WY Forestry 90,000 $4,222,800 $-344,700 -7.54 % Added More 55,000 157.14 $-210,650
Zimmer Hldgs Inc (ZMH) US ZMH Medical Products 92,800 $4,732,800 $-2,026,752 -29.98 % Added More 56,400 154.94 $-1,231,776
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Listed 52 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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