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Lafitte Capital Management Lp

 
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Page Created: 2008-10-12 01:24:00-07

 
Fund Type: INSTITUTION Report Date: 2008-08-18 Current Value: $195,420,765 Total Performance: -46.70 %
 
Worst Move: Lafitte Capital Management Lp potentially lost $-17,866,656 on changes made with Sauer Danfoss Inc (SHS) buying shares when price went down.
Best Move: Lafitte Capital Management Lp potentially made $-9,067 on changes made with Aristotle Corp (ARTL) buying shares when price went up.
Good Save: Lafitte Capital Management Lp potentially saved $1,516,704 on changes made with Vantage Energy Svcs Inc (VTG) selling shares when price went down.
Missed Move: Lafitte Capital Management Lp potentially missed $180,560 on changes made with Flotek Inds Inc(FTK) selling shares when price went up.
 
 
   

Lafitte Capital Management Lp Details

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Stock Country Symbol Industry Current Shares Current Value Value Chng. Return Activity Shares Chng. Shares Chg.% Results
Ameristar Casinos Inc (ASCA) US ASCA Casino Hotels 80,000 $467,200 $-775,200 -62.39 % New Holding 80,000 100.00 $-775,200
Ampco Pittsburg Corp (AP) US AP Metal Processors&F ... None - - - % Sold All -64,416 -100.00 $1,425,526
Aristotle Corp (ARTL) US ARTL Retail-Catalog Sho ... 13,046 $82,973 $-18,134 -17.93 % Added More 6,523 100.00 $-9,067
Bally Technologies Inc (BYI) US BYI Casino Services 1,200,000 $21,816,000 $-16,812,000 -43.52 % Added More 743,044 162.60 $-10,410,046
Bj Svcs Co (BJS) US BJS Oil-Field Services 760,000 $7,258,000 $-12,258,800 -62.81 % Added More 660,000 660.00 $-10,645,800
C And D Technologies Inc (CHP) US CHP Power Conv/Supply ... 3,654,200 $12,424,280 $-15,932,312 -56.18 % Added More 1,827,100 100.00 $-7,966,156
Cpi Corp (CPY) US CPY Commercial Service ... 1,093,600 $6,561,600 $-7,491,160 -53.30 % Added More 622,335 132.05 $-4,262,995
Enersys (ENS) US ENS Batteries/Battery ... 1,484,918 $19,170,291 $-24,412,052 -56.01 % Added More 992,459 201.53 $-16,316,026
Flotek Inds Inc (FTK) US FTK Oil Field Mach&Equ ... None - - - % Sold All -14,800 -100.00 $180,560
Hi Shear Technology Corp (HSR) US HSR Aerospace/Defense- ... 1,071,226 $7,262,912 $-4,713,394 -39.35 % Added More 535,613 100.00 $-2,356,697
Hornbeck Offshore Svcs Inc (HOS) US HOS Oil-Field Services 866,000 $21,165,040 $-13,656,820 -39.21 % Added More 528,000 156.21 $-8,326,560
Interface Ag (IFSIA) DE IFSIA Office Furnishings ... 910,200 $6,908,418 $-4,642,020 -40.18 % New Holding 910,200 100.00 $-4,642,020
Kadant Inc (KAI) US KAI Machinery-General ... 509,712 $8,155,392 $-3,924,782 -32.48 % Added More 254,856 100.00 $-1,962,391
Kapstone Paper And Packaging Corp (KPPCW) US KPPCW - 1,051,208 $578,164 $-2,312,658 -80.00 % Added More 525,604 100.00 $-1,156,329
Key Technology Inc (KTEC) US KTEC Machinery-Material ... 1,124,374 $18,304,809 $-9,096,186 -33.19 % Added More 596,187 112.87 $-4,823,153
Lubys Inc (LUB) US LUB Retail-Restaurants 819,200 $4,964,352 $-999,424 -16.75 % Added More 609,600 290.83 $-743,712
Nortech Sys Inc (NSYS) US NSYS Wire&Cable Product ... 399,618 $1,618,453 $-1,718,357 -51.49 % Added More 340,265 573.29 $-1,463,140
North Amern Galvanizing And Coati ... (NGA) US NGA Metal Processors&F ... 301,274 $1,111,701 $-1,687,134 -60.27 % New Holding 301,274 100.00 $-1,687,134
Par Technology Corp (PTC) US PTC Computers 296,100 $1,569,330 $-778,743 -33.16 % Added More 168,050 131.23 $-441,972
Pinnacle Entmt Inc (PNK) US PNK Gambling (Non-Hote ... None - - - % Sold All -84,100 -100.00 $558,424
Quanex Corp (NX) US NX Metal Processors&F ... None - - - % Sold All -254,178 -100.00 $823,537
Rocky Mtn Chocolate Factoryinc (RMCF) US RMCF Food-Confectionery 82,206 $464,464 $-288,543 -38.31 % Added More 25,903 46.00 $-90,920
Sauer Danfoss Inc (SHS) US SHS Machinery-General ... 988,200 $15,287,454 $-17,866,656 -53.88 % New Holding 988,200 100.00 $-17,866,656
Superior Well Svcs Inc (SWSI) US SWSI Oil-Field Services 482,232 $7,223,835 $-8,207,589 -53.18 % Added More 431,799 856.18 $-7,349,219
Textainer Group Holdings Ltd (TGH) BM TGH Transport-Equip&Le ... 493,800 $4,612,092 $-4,068,912 -46.87 % New Holding 493,800 100.00 $-4,068,912
Thompson Creek Metals Company (TC) CA TC Non-Ferrous Metals 900,000 $5,274,000 $-6,624,000 -55.67 % New Holding 900,000 100.00 $-6,624,000
Tidewater Inc (TDW) US TDW Transport-Marine 390,000 $14,313,000 $-7,078,500 -33.09 % Added More 200,000 105.26 $-3,630,000
Twin Disc Inc (TWIN) US TWIN Machinery-General ... 431,720 $3,816,405 $-4,092,706 -51.74 % New Holding 431,720 100.00 $-4,092,706
Vantage Energy Svcs Inc (VTG) US VTG Specified Purpose ... None - - - % Sold All -310,800 -100.00 $1,516,704
Wms Inds Inc (WMS) US WMS Leisure&Rec Produc ... 210,000 $5,010,600 $-1,791,300 -26.33 % New Holding 210,000 100.00 $-1,791,300
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Listed 30 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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