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 Fund Type: INSTITUTION Report Date: 2008-08-15 Current Value:  Total Performance: %
 
 
 
   

Scopia Management Inc Details

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Stock Country Symbol Industry Current Shares Current Value Value Chng. Return Activity Shares Chng. Shares Chg.% Results
1 800 Flowers Com Inc (FLWS) US FLWS E-Commerce/Product ... 154,327 % Added More 145,218 1594.22
4 Kids Entmt Inc (KDE) US KDE Multimedia 142,197 % Sold Some -346,778 -70.91
99 Cents Only Stores (NDN) US NDN Retail-Discount 10,414 % No Change - - -
Align Technology Inc (ALGN) US ALGN Dental Supplies&Eq ... 1,576,574 % Added More 98,979 6.69
Anixter Intl Inc (AXE) US AXE Networking Product ... 37,253 % New Holding 37,253 100.00
Ballard Power Systems Inc (BLDP) CA BLDP Energy-Alternate S ... 10,801 % No Change - - -
Basic Energy Svcs Inc (B8J1.BE) US B8J1.BE Oil-Field Services None - - - % Sold All -1,686,532 -100.00
Brocade Communications Sys Inc (BRCD) US BRCD Computers-Integrat ... 2,678 % No Change - - -
Cal Maine Foods Inc (CALM) US CALM Food-Misc/Diversif ... None - - - % Sold All -18,718 -100.00
Central Garden And Pet Co (CENTA) US CENTA Consumer Products- ... 1,305,499 % Sold Some -990,063 -43.12
Choice Hotels Intl Inc (CHH) US CHH Hotels&Motels 32,030 % New Holding 32,030 100.00
Cisco Sys Inc (CSCO) US CSCO Networking Product ... 533,685 % New Holding 533,685 100.00
Conceptus Inc (CPTS) US CPTS Medical Instrument ... 481,039 % Sold Some -654,942 -57.65
Corning Inc (GLW) US GLW Telecom Eq Fiber O ... 1,385,399 % Added More 45,083 3.36
Encore Wire Corp (WIRE) US WIRE Wire&Cable Product ... None - - - % Sold All -765,458 -100.00
Equity Residential (EQR) US EQR Reits-Apartments None - - - % Sold All -52,264 -100.00
Finish Line Inc (FINL) US FINL Retail-Apparel/Sho ... 2,734,949 % Added More 509,638 22.90
Greatbatch Inc (GB) US GB Batteries/Battery ... 2,163,868 % Added More 1,440,107 198.97
Harvest Nat Res Inc (BNO.BE) US BNO.BE Oil Comp-Explor&Pr ... 352,189 % New Holding 352,189 100.00
Helen Of Troy Limited (HELE) BM HELE Consumer Products- ... None - - - % Sold All -852,015 -100.00
Hewitt Assocs Inc (HEW) US HEW Human Resources 761,638 % Sold Some -151,922 -16.62
Hospira Inc (HSP) US HSP Drug Delivery Syst ... None - - - % Sold All -449,679 -100.00
Houston Wire And Cable Co (HWCC) US HWCC Distribution/Whole ... None - - - % Sold All -84,828 -100.00
Huron Consulting Group Inc (HURN) US HURN Consulting Service ... 221,390 % Sold Some -13,320 -5.67
Istar Finl Inc (OLZ.BE) US OLZ.BE Reits-Diversified 1,184,799 % Added More 256,582 27.64
King Pharmaceuticals Inc (KG) US KG Medical-Drugs None - - - % Sold All -298,969 -100.00
Lin Tv Corp (LTVA.BE) US LTVA.BE Television 1,121,041 % Sold Some -67,639 -5.69
Longs Drug Stores Corp (LDG) US LDG Retail-Drug Store 312,999 % New Holding 312,999 100.00
M D C Hldgs Inc (MDC) US MDC Bldg-Residential/C ... None - - - % Sold All -301,475 -100.00
Medtronic Inc (MDT.BE) US MDT.BE Medical Instrument ... None - - - % Sold All -527,930 -100.00
Mentor Graphics Corp (MENT) US MENT Electronic Design ... 1,600,932 % Sold Some -557,240 -25.81
Miller Inds Inc Tenn (MLR) US MLR Auto/Trk Prts&Equi ... 515,829 % Sold Some -29,580 -5.42
Nexmed Inc (NEXM) US NEXM Drug Delivery Syst ... 1,670,457 % Sold Some -1,329,674 -44.32
Novamerican Stl Inc (TONS) US TONS Steel-Producers 2,123,748 % Added More 357,529 20.24
Nvr Inc (NVE.BE) US NVE.BE Bldg-Residential/C ... 9,082 % New Holding 9,082 100.00
Oshkosh Truck Corp (OSK) US OSK Auto-Med&Heavy Dut ... 50,000 % New Holding 50,000 100.00
Radioshack Corp (RSH) US RSH Retail-Consumer El ... 420,111 % No Change - - -
Realnetworks Inc (RNWK) US RNWK Internet Applic Sf ... None - - - % Sold All -714,360 -100.00
Secure Computing Corp (SCUR) US SCUR Internet Security 849,883 % Added More 263,272 44.88
Sonicwall Inc (SNWL) US SNWL Internet Security 3,683,111 % Added More 204,613 5.88
Source Interlink Cos Inc (SORC) US SORC Commercial Service ... 5,332,276 % Sold Some -88,800 -1.63
Spirit Aerosystems Hldgs Inc (SPR) US SPR Aerospace/Defense 1,147,259 % Added More 287,229 33.39
Toll Bros Inc (TOL) US TOL Bldg-Residential/C ... None - - - % Sold All -127,218 -100.00
Universal Technical Inst Inc (UTI) US UTI Schools 542,226 % New Holding 542,226 100.00
Wellpoint Inc (WLP) US WLP Medical-Hmo 858,848 % Sold Some -25,547 -2.88
Yingli Green Energy Hldg Co Ltd (YGE) US YGE Energy-Alternate S ... 1,031,307 % New Holding 1,031,307 100.00
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Listed 46 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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