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 Fund Type: INSTITUTION Report Date: 2008-08-14 Current Value: $185,680,616 Total Performance: -1.29 %
 
Worst Move: Brigade Capital Management Llc potentially lost $-882,750 on changes made with Pantry Inc (PTRY) buying shares when price went down.
Best Move: Brigade Capital Management Llc potentially made $1,757,500 on changes made with R H Donnelley Corp (BSR.BE) buying shares when price went up.
Good Save: Brigade Capital Management Llc potentially saved $7,820,519 on changes made with Titan Intl Inc Ill (TWI) selling shares when price went down.
Missed Move: Brigade Capital Management Llc potentially missed $-87,500 on changes made with Parker Drilling Co(PKD) selling shares when price went up.
 
 
   

Brigade Capital Management Llc Details

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Stock Country Symbol Industry Current Shares Current Value Value Chng. Return Activity Shares Chng. Shares Chg.% Results
Accuride Corp (ACW) US ACW Auto/Trk Prts&Equi ... 411,252 $600,428 $-320,777 -34.82 % New Holding 411,252 100.00 $-320,777
Alliance One Intl Inc (DM8.BE) US DM8.BE Tobacco 750,000 $3,030,000 $-127,500 -4.03 % Added More 200,000 36.36 $-34,000
Bauer Eddie Hldgs Inc (NAO.BE) US NAO.BE Retail-Apparel/Sho ... 400,000 $2,440,000 $-88,000 -3.48 % New Holding 400,000 100.00 $-88,000
Beazer Homes Usa Inc (BZH) US BZH Bldg-Residential/C ... 1,006,310 $7,003,918 $-472,966 -6.32 % Added More 687,900 216.04 $-323,313
Bon Ton Stores Inc (BONT) US BONT Retail-Regnl Dept ... 950,000 $3,800,000 $-1,453,500 -27.66 % No Change - - -
Boyd Gaming Corp (BYD) US BYD Casino Hotels 50,000 $609,500 $-74,000 -10.82 % New Holding 50,000 100.00 $-74,000
Bristow Group Inc (OF1.BE) US OF1.BE Transport-Services 100,000 $4,041,000 $306,000 8.19 % New Holding 100,000 100.00 $306,000
Carmike Cinemas Inc (CKEC) US CKEC Theaters 288,146 $1,518,529 $-270,857 -15.13 % Added More 91,084 46.22 $-85,619
Centennial Communications Corpnew (CYCL) US CYCL Cellular Telecom None - - - % Sold All -1,045,642 -100.00 $345,062
Childrens Pl Retail Stores Inc (PLCE) US PLCE Retail-Apparel/Sho ... 225,000 $9,438,750 $1,080,000 12.92 % Added More 155,000 221.42 $744,000
Comcast Corp (CCT) US CCT - 600,000 $14,340,000 $144,000 1.01 % No Change - - -
Exar Corp (EXAR) US EXAR Semicon Compo-Intg ... 591,183 $4,575,756 $-301,503 -6.18 % New Holding 591,183 100.00 $-301,503
Felcor Lodging Tr Inc (FCH) US FCH Reits-Hotels 1,082,200 $8,668,422 $-486,990 -5.31 % Added More 82,200 8.22 $-36,990
Fremont Gen Corp (FMT) US FMT Commer Banks-Weste ... None - - - % Sold All -1,074,000 -100.00
Huntsman Corp (HUN) US HUN Chemicals-Diversif ... 125,000 $1,631,250 $-168,750 -9.37 % New Holding 125,000 100.00 $-168,750
Idearc Inc (IAR) US IAR Publishing-Periodi ... 1,281,800 $2,114,970 $461,448 27.90 % Added More 381,800 42.42 $137,448
Isle Capri Casinos Inc (ISLE) US ISLE Gambling (Non-Hote ... 1,375,000 $9,845,000 $-343,750 -3.37 % New Holding 1,375,000 100.00 $-343,750
Kinetic Concepts Inc (KCI) US KCI Hospital Beds/Equi ... 150,000 $5,274,000 $94,500 1.82 % Sold Some -50,000 -25.00 $-31,500
Libbey Inc (LBY) US LBY Housewares 800,000 $7,440,000 $-792,000 -9.62 % Added More 400,000 100.00 $-396,000
Mgic Invt Corp Wis (MTG) US MTG Financial Guarante ... 45,573 $383,269 $27,800 7.82 % No Change - - -
Mtr Gaming Group Inc (MNTG) US MNTG Casino Hotels 1,700,000 $6,953,000 $-204,000 -2.85 % Added More 844,256 98.65 $-101,311
National Health Invs Inc (NHI) US NHI Reits-Health Care 279,200 $9,129,840 $150,768 1.67 % Sold Some -27,292 -8.90 $-14,738
Nexstar Broadcasting Group Inc (NXST) US NXST Broadcast Serv/Pro ... 1,250,662 $4,514,890 $-150,079 -3.21 % Added More 70,662 5.98 $-8,479
Pall Corp (PLL) US PLL Filtration/Separat ... 125,000 $5,076,250 $-173,750 -3.30 % New Holding 125,000 100.00 $-173,750
Pantry Inc (PTRY) US PTRY Retail-Convenience ... 825,000 $15,130,500 $-882,750 -5.51 % New Holding 825,000 100.00 $-882,750
Parker Drilling Co (PKD) US PKD Oil&Gas Drilling 1,000,000 $9,270,000 $350,000 3.92 % Sold Some -250,000 -20.00 $-87,500
Penney J C Inc (JCP) US JCP Retail-Major Dept ... 75,000 $2,922,750 $160,500 5.81 % Added More 23,444 45.47 $50,170
Pinnacle Airl Corp (PNCL) US PNCL Airlines 1,100,000 $5,236,000 $-1,826,000 -25.85 % Added More 400,000 57.14 $-664,000
Pmi Group Inc (PMI) US PMI Financial Guarante ... 100,000 $359,000 $-58,000 -13.90 % Sold Some -150,000 -60.00 $87,000
R H Donnelley Corp (BSR.BE) US BSR.BE Publishing-Periodi ... 1,300,000 $4,927,000 $2,405,000 95.36 % Added More 950,000 271.42 $1,757,500
Slm Corp (ISM) US ISM - 425,000 $6,872,250 $80,750 1.18 % Added More 325,000 325.00 $61,750
Spectrum Brands Inc (SPC) US SPC Consumer Products- ... None - - - % Sold All -292,200 -100.00 $315,576
Titan Intl Inc Ill (TWI) US TWI Auto/Trk Prts&Equi ... None - - - % Sold All -565,475 -100.00 $7,820,519
Unitedhealth Group Inc (UNH) US UNH Medical-Hmo 402,000 $12,240,900 $-578,880 -4.51 % Added More 200,000 99.00 $-288,000
Wellcare Health Plans Inc (WCG) US WCG Medical-Hmo 349,400 $14,590,944 $1,275,310 9.57 % Added More 24,400 7.50 $89,060
Winnebago Inds Inc (WGO) US WGO Bldg-Mobil Home/Mf ... 150,000 $1,702,500 $-202,500 -10.62 % New Holding 150,000 100.00 $-202,500
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Listed 36 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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