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Kaman Corp (KAMN)

Industry: Aerospace/Defense-EquipCountry: United States
 
Number of funds
Global RankCountry RankIndustry Rank
Owned:
222
1539142411
Score:
0.07
4259--
Brand New:
32
130612069
Increased Existing:
42
1795--
No Change:
25
1202--
Reduced Existing:
41
1650--
Liquidated:
26
1701156010
No Comparison Available:
56
---
Funds buying shares:
74
1604148811
Buying %:
44.57 %
4299234116
Funds not buying/selling shares:
25
---
Neutral %:
15.06 %
---
Funds selling shares:
67
1700157511
Selling %:
40.36 %
6144334620
   

Kaman Corp (KAMN) Details

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Fund Fund Type Fund Perf. Report Date Current Shares Current Value Value Chng. Return Activity Shares Chng. Shares Chg.% Results
Aberdeen Asset Management Plc Institution -10.41 % 2008-04-16 64,087 $1,577,822 $-259,552 -14.12 % Added More 30,187 89.04 % $-122,257
Adage Capital Partners Gp Llc Institution -8.43 % 2008-05-15 118,293 $2,912,374 $-94,634 -3.14 % New Holding 118,293 100.00 % $-94,634
Al Frank Asset Management Inc Institution -10.23 % 2008-05-06 69,203 $1,703,778 $-92,040 -5.12 % Sold Some -572 -0.81 % $761
Allstate Insurance Co Institution -8.06 % 2008-05-09 None - - - % Sold All -9,100 -100.00 % $4,914
American Century Companies Inc Institution -7.85 % 2008-05-13 235,000 $5,785,700 $-133,950 -2.26 % Added More 143,700 157.39 % $-81,909
American International Group Inc Institution -8.17 % 2008-06-02 95,887 $2,360,738 $-56,573 -2.34 % Added More 73,845 335.01 % $-43,569
Americas Value Fund (Lord Abbett Research Fund Inc) Multi-Cap Value -7.46 % 2008-04-29 None - - - % Sold All -418,116 -100.00 % $1,183,268
Ameriprise Financial Inc Institution -10.27 % 2008-05-06 41,355 $1,018,160 $-55,002 -5.12 % Sold Some -20,673 -33.32 % $27,495
Amvescap Plc Institution % 2008-05-14 4,562 % Sold Some -709 -13.45 %
Assetmark Fundamental Index Small Company Value Fund (Assetmark Funds) Small-Cap Value -4.97 % 2008-06-09 383 $9,429 $73 0.77 % Added More 185 93.43 % $35
Axa Institution -11.70 % 2008-05-15 951,295 $23,420,883 $-761,036 -3.14 % Sold Some -628,529 -39.78 % $502,823
Axa Enterprise Mergers And Acquisitions Fund (787 Fund Inc.) Specialty & Misc 5.10 % 2008-07-09 100,000 $2,462,000 $181,000 7.93 % No Compare - - % -
Babson Capital Management Llc Institution % 2008-05-14 36,500 % Sold Some -102,800 -73.79 %
Bank Of America Corp Institution -8.59 % 2008-05-12 747,541 $18,404,459 $-433,574 -2.30 % Added More 355,858 90.85 % $-206,398
Bank Of New York Mellon Corp Institution % 2008-05-14 469,612 % Added More 160,111 51.73 %
Barclays Global Investors Uk Holdings Ltd Institution -7.25 % 2008-04-30 1,304,462 $32,115,854 $-3,235,066 -9.15 % Sold Some -8,625 -0.65 % $21,390
Barclays Plc Institution % 2008-05-14 5,600 % New Holding 5,600 100.00 %
Batterymarch Financial Management Inc Institution -8.03 % 2008-05-15 None - - - % Sold All -4,100 -100.00 % $3,280
Bear Stearns And Co Inc Institution -8.02 % 2008-05-15 7,230 $178,003 $-5,784 -3.14 % Sold Some -3,853 -34.76 % $3,082
Bear Stearns Asset Management Inc Institution % 2008-05-14 213,576 % Sold Some -540,210 -71.66 %
Black River Asset Management Llc Institution -2.16 % 2008-05-15 5,200 $128,024 $-4,160 -3.14 % Added More 1,000 23.80 % $-800
Blackrock Inc Institution -4.86 % 2008-04-23 None - - - % Sold All -2,790 -100.00 % $9,347
Blackrock Investment Management Llc Institution -6.88 % 2008-04-23 91,785 $2,259,747 $-307,480 -11.97 % Sold Some -2,500 -2.65 % $8,375
Bridgeway Capital Management Inc Institution -6.81 % 2008-05-15 None - - - % Sold All -6,300 -100.00 % $5,040
Brown Investment Advisory And Trust Co Institution -6.29 % 2008-04-25 113,140 $2,785,507 $-393,727 -12.38 % Added More 23,000 25.51 % $-80,040
Bull Profund (Profunds) Large-Cap Core -0.95 % 2008-06-27 5,653 $139,177 $9,893 7.65 % No Compare - - % -
California Public Employees Retirement System Institution -7.66 % 2008-04-28 183,200 $4,510,384 $-659,520 -12.75 % Added More 9,700 5.59 % $-34,920
Capstone Asset Management Co Institution 1.93 % 2008-07-09 None - - - % Sold All -8,080 -100.00 % $-14,625
Cardinal Capital Management Llc Institution -5.76 % 2008-05-15 859,840 $21,169,261 $-687,872 -3.14 % Added More 188,970 28.16 % $-151,176
Ccm Partners Institution % 2008-05-14 1,048 % No Change 1,048 0 % -
Citigroup Inc Institution % 2008-05-14 None - - - % Sold All -5,603 -100.00 %
Clarivest Asset Management Llc Institution -4.53 % 2008-04-23 2,000 $49,240 $-6,700 -11.97 % New Holding 2,000 100.00 % $-6,700
Claymore Advisors Llc Institution -8.91 % 2008-05-09 17 $419 $-9 -2.14 % No Change 17 0 % -
Cmg Small Cap Value Fund (Columbia Funds Institutional Trust) Small-Cap Value -1.42 % 2008-06-23 4,740 $116,699 $-1,138 -0.96 % No Compare - - % -
Columbia Asset Allocation Fund (Columbia Funds Series Trust I) Specialty & Misc -2.54 % 2008-07-01 650 $16,003 $1,365 9.32 % No Compare - - % -
Columbia Asset Allocation Fund Variable Series (Columbia Funds Variable Insurance Trust) Specialty & Misc -9.81 % 2008-05-27 430 $10,587 $-125 -1.16 % Sold Some -430 -50.00 % $125
Columbia International Fund Variable Series (Columbia Funds Variable Insurance Trust) Global Flex Port -4.71 % 2008-05-27 77,357 $1,904,529 $-22,434 -1.16 % Sold Some -78,957 -50.51 % $22,898
Columbia Small Cap Core Fund (Columbia Funds Series Trust I) Small-Cap Core 3.09 % 2008-07-01 158,677 $3,906,628 $333,222 9.32 % No Compare - - % -
Columbia Small Cap Value Fund I (Columbia Funds Series Trust I) Small-Cap Value 2.79 % 2008-07-01 153,073 $3,768,657 $321,453 9.32 % No Compare - - % -
Comerica Bank Institution -8.31 % 2008-05-13 21,157 $520,885 $-12,059 -2.26 % Added More 578 2.80 % $-329
Commonwealth Of Pennsylvania Public School Empls Retrmt Sys Institution -8.34 % 2008-04-28 None - - - % Sold All -16,037 -100.00 % $57,733
Contravisory Research & Management Corp. Institution -2.21 % 2008-04-24 2,680 $65,982 $-9,755 -12.88 % New Holding 2,680 100.00 % $-9,755
Credit Suisse/ Institution -11.12 % 2008-05-16 12,285 $302,457 $-13,636 -4.31 % Added More 1,959 18.97 % $-2,174
Dimensional Fund Advisors Inc Institution -7.82 % 2008-05-05 1,813,999 $44,660,655 $-2,412,619 -5.12 % Sold Some -107,941 -5.61 % $143,562
Dreyfus Smallcap Stock Index Fund (Dreyfus Index Funds Inc) Small-Cap Core -0.52 % 2008-07-01 40,700 $1,002,034 $85,470 9.32 % No Compare - - % -
Dws Small Cap Index Vip (Dws Investments Vit Funds) Small-Cap Core -5.04 % 2008-05-29 7,400 $182,188 $-4,810 -2.57 % No Compare - - % -
Eqalliancebernstein Value Portfolio (Eq Advisors Trust) Multi-Cap Value -9.41 % 2008-05-29 450,230 $11,084,663 $-292,650 -2.57 % No Compare - - % -
Eqbond Index Portfolio (Eq Advisors Trust) Specialty & Misc -5.17 % 2008-05-29 19,500 $480,090 $-12,675 -2.57 % No Compare - - % -
Eqgamco Mergers And Acquisitions Portfolio (Eq Advisors Trust) Specialty & Misc -3.66 % 2008-05-29 15,000 $369,300 $-9,750 -2.57 % No Compare - - % -
Eqoppenheimer Main Street Small Cap Portfolio (Eq Advisors Trust) Small-Cap Core -6.43 % 2008-05-29 570 $14,033 $-371 -2.57 % No Compare - - % -
Equitrust Investment Management Services Inc Institution -8.11 % 2008-05-15 None - - - % Sold All -6,000 -100.00 % $4,800
Equity Index Fund (Tiaa Cref Institutional Mutual Funds) Specialty & Misc -9.28 % 2008-06-05 257,496 $6,339,552 $-535,592 -7.79 % Added More 255,681 14087.10 % $-531,816
Etrade Russell 2000 Index Fund (E Trade Funds) Small-Cap Core -4.43 % 2008-05-28 2,187 $53,844 $-1,072 -1.95 % No Compare - - % -
Ferris Baker Watts Incorporated Institution -9.65 % 2008-05-12 192 $4,727 $-111 -2.30 % New Holding 192 100.00 % $-111
Fidelity International Ltd Institution % 2008-05-14 2,700 % No Change 2,700 0 % -
Fidelity Nasdaq Composite Index Fund (Fidelity Commonwealth Trust) Specialty & Misc -1.04 % 2008-06-26 674 $16,594 $762 4.81 % No Compare - - % -
First Trust Advisors Lp Institution -8.12 % 2008-05-12 20,198 $497,275 $-11,715 -2.30 % New Holding 20,198 100.00 % $-11,715
First Trust Multi Cap Value Alphadex Fund (First Trust Exchange-Traded Alphadex Fund) Multi-Cap Value -0.15 % 2008-06-27 65 $1,600 $114 7.65 % New Holding 65 100.00 % $114
First Trust Small Cap Core Alphadex Fund (First Trust Exchange-Traded Alphadex Fund) Small-Cap Core 2.04 % 2008-06-27 129 $3,176 $226 7.65 % New Holding 129 100.00 % $226
Fixed Income Securities Inc. Institution % 2008-05-14 8,200 % No Compare - - % -
Fixed Income Securities Lp Institution % 2008-05-14 10,062 % No Compare - - % -
Fmr Corp Institution % 2008-05-14 1,240,509 % Added More 423,577 51.84 %
Foundation Resource Management Inc Institution -9.92 % 2008-05-07 43,700 $1,075,894 $-32,338 -2.91 % No Change 43,700 0 % -
Gabelli Capital Asset Fund (Gabelli Capital Series Funds Inc) Specialty & Misc -6.93 % 2008-05-28 55,000 $1,354,100 $-26,950 -1.95 % No Change 55,000 0 % -
Gabelli Convertible Income Securities Fund Inc Institution -6.41 % 2008-05-30 12,842 $316,170 $-16,438 -4.94 % No Change 12,842 0 % -
Gabelli Dividend Income Trust Institution -7.66 % 2008-05-29 55,000 $1,354,100 $-35,750 -2.57 % No Compare - - % -
Gabelli Equity Trust Inc Institution -8.01 % 2008-05-30 25,899 $637,633 $-33,151 -4.94 % No Compare - - % -
Gamco Investors Inc Et Al Institution -7.41 % 2008-05-15 3,044,906 $74,965,586 $-2,435,925 -3.14 % Sold Some -2,672,478 -46.74 % $2,137,982
Gartmore Investment Management Ltd Institution % 2008-07-16 11,060 % No Compare - - % -
Gartmore Mutual Fund Capital Trust Institution -9.12 % 2008-05-15 114,857 $2,827,779 $-91,886 -3.14 % Added More 58,649 104.34 % $-46,919
Geode Capital Management Llc Institution -9.25 % 2008-05-15 41,479 $1,021,213 $-33,183 -3.14 % Sold Some -141 -0.33 % $113
Glenmede Trust Co Na Institution -8.05 % 2008-05-13 1,300 $32,006 $-741 -2.26 % Sold Some -200 -13.33 % $114
Goldman Sachs Group Inc Institution -9.30 % 2008-05-13 349,812 $8,612,371 $-199,393 -2.26 % Sold Some -48,011 -12.06 % $27,366
Growth Equity Fund (Tiaa Cref Institutional Mutual Funds) Multi-Cap Growth -9.20 % 2008-06-05 48,942 $1,204,952 $-101,799 -7.79 % New Holding 48,942 100.00 % $-101,799
Hanson Investment Management Institution 1.38 % 2008-05-01 None - - - % Sold All -5,700 -100.00 % $17,556
Hartford Investment Management Co Institution -8.34 % 2008-05-15 5,578 $137,330 $-4,462 -3.14 % Sold Some -641 -10.30 % $513
Hennessy Advisors Inc Institution -4.29 % 2008-04-21 63,500 $1,563,370 $-241,300 -13.37 % Sold Some -9,400 -12.89 % $35,720
High Pointe Capital Management Llc Institution -3.12 % 2008-04-23 18,400 $453,008 $-61,640 -11.97 % New Holding 18,400 100.00 % $-61,640
Highbridge Capital Management Llc Institution -8.10 % 2008-05-13 10,662 $262,498 $-6,077 -2.26 % New Holding 10,662 100.00 % $-6,077
Hsbc Holdings Plc Institution -10.18 % 2008-05-15 81,539 $2,007,490 $-65,231 -3.14 % No Change 81,539 0 % -
Icon Advisers Inc Institution -7.16 % 2008-05-02 None - - - % Sold All -27,900 -100.00 % $51,894
Index 600 Stock Portfolio (Northwestern Mutual Series Fund Inc) Specialty & Misc -4.31 % 2008-05-23 976 $24,029 $-29 -0.12 % No Compare - - % -
Ing Investment Management Co Institution % 2008-05-14 35,450 % Added More 9,850 38.47 %
Ing Investments Llc Institution % 2008-05-14 22,000 % Added More 10,700 94.69 %
International Growth Fund (Nicholas Applegate Institutional Funds) Multi-Cap Growth -5.97 % 2008-06-09 None - - - % Sold All -2,300 -100.00 % $-437
Investment Counselors Of Maryland Llc Institution -5.45 % 2008-05-12 1,161,100 $28,586,282 $-673,438 -2.30 % Added More 221,800 23.61 % $-128,644
Ishares Russell 2000 Growth Index Fund (Ishares Trust) Multi-Cap Growth 6.14 % 2008-07-07 36,692 $903,357 $115,947 14.72 % No Compare - - % -
Ishares Russell 2000 Index Fund (Ishares Trust) Specialty & Misc 6.47 % 2008-07-07 222,564 $5,479,526 $703,302 14.72 % No Compare - - % -
Ishares Russell 2000 Value Index Fund (Ishares Trust) Multi-Cap Value 6.88 % 2008-07-07 98,045 $2,413,868 $309,822 14.72 % No Compare - - % -
Ishares Russell 3000 Growth Index Fund (Ishares Trust) Multi-Cap Growth 1.06 % 2008-07-07 341 $8,395 $1,078 14.72 % No Compare - - % -
Ishares Russell 3000 Index Fund (Ishares Trust) Specialty & Misc 1.55 % 2008-07-07 4,494 $110,642 $14,201 14.72 % No Compare - - % -
Ishares Russell 3000 Value Index Fund (Ishares Trust) Multi-Cap Value 2.13 % 2008-07-07 1,334 $32,843 $4,215 14.72 % No Compare - - % -
Ishares Russell Microcap Index Fund (Ishares Trust) Specialty & Misc 9.09 % 2008-07-07 12,841 $316,145 $40,578 14.72 % No Compare - - % -
J P Morgan Chase And Co Institution -8.35 % 2008-05-09 125,819 $3,097,664 $-67,942 -2.14 % Sold Some -19,450 -13.38 % $10,503
Jpmorgan Diversified Fund (Jpmorgan Trust I) Flexible Portfolio -0.23 % 2008-07-08 1 $25 $1 5.57 % No Compare - - % -
Jpmorgan Small Company Portfolio (Jp Morgan Series Trust Ii) Small-Cap Core -6.02 % 2008-05-30 3,700 $91,094 $-4,736 -4.94 % No Change 3,700 0 % -
Keeley Asset Management Corp Institution -3.72 % 2008-05-13 762,500 $18,772,750 $-434,625 -2.26 % Added More 132,500 21.03 % $-75,525
Keeley Mid Cap Value Fund (Keeley Funds Inc) Mid-Cap Core -5.12 % 2008-05-29 None - - - % Sold All -630,000 -100.00 % $409,500
Kennedy Capital Management Inc Institution % 2008-05-14 15,800 % Added More 3,800 31.66 %
Kiewit Investment Fund Lllp Institution -8.78 % 2008-05-30 100 $2,462 $-128 -4.94 % No Compare - - % -
Laudus Rosenberg International Discovery Fund (Laudus Trust) Global Flex Port -7.33 % 2008-06-03 65,186 $1,604,879 $-50,193 -3.03 % No Compare - - % -
Laudus Rosenberg International Small Capitalization Fund (Laudus Trust) Small-Cap Core -7.49 % 2008-06-03 129,981 $3,200,132 $-100,085 -3.03 % No Compare - - % -
Lazard Asset Management Llc Institution -5.04 % 2008-04-09 415,998 $10,241,871 $-1,381,113 -11.88 % Added More 91,169 28.06 % $-302,681
Lazard Retirement Small Cap Portfolio (Lazard Retirement Series Inc) Small-Cap Core -7.88 % 2008-05-30 28,300 $696,746 $-36,224 -4.94 % Sold Some -590,108 -95.42 % $755,338
Lazard Small Cap Portfolio (Lazard Funds Inc) Small-Cap Core -7.90 % 2008-05-30 56,900 $1,400,878 $-72,832 -4.94 % No Compare - - % -
Lehman Brothers Holdings Inc Institution -9.00 % 2008-05-12 10,845 $267,004 $-6,290 -2.30 % No Compare - - % -
Levin Capital Strategies L P Institution -9.78 % 2008-05-12 111,300 $2,740,206 $-64,554 -2.30 % Added More 96,300 642.00 % $-55,854
Liberty Mutual Insurance Co Institution % 2008-05-14 10,900 % Added More 2,400 28.23 %
Loomis Sayles And Co L P Institution -8.10 % 2008-05-15 104,605 $2,575,375 $-83,684 -3.14 % Added More 16,029 18.09 % $-12,823
Loomis Sayles Small Cap Growth Fund (Loomis Sayles Funds Ii) Small-Cap Growth -3.47 % 2008-06-04 16,951 $417,334 $-16,442 -3.79 % No Compare - - % -
Loomis Sayles Small Cap Portfolio (Metropolitan Series Fund Inc) Small-Cap Core -12.17 % 2008-05-21 66,709 $1,642,376 $-52,700 -3.10 % No Compare - - % -
Lord Abbett And Co Llc Institution % 2008-05-14 295,292 % Sold Some -400,991 -57.59 %
Lyz Capital Advisors Llc Institution -6.70 % 2008-05-15 9,500 $233,890 $-7,600 -3.14 % New Holding 9,500 100.00 % $-7,600
Mason Street Advisors Llc Institution -8.85 % 2008-05-15 976 $24,029 $-781 -3.14 % New Holding 976 100.00 % $-781
Maxim Series Fund Inc (Maxim Series Fund Inc) Specialty & Misc -8.90 % 2008-05-29 12,323 $303,392 $-8,010 -2.57 % New Holding 12,323 100.00 % $-8,010
Mercury Asset Management International Ltd Institution -10.74 % 2008-04-23 5,290 $130,240 $-17,722 -11.97 % New Holding 5,290 100.00 % $-17,722
Merrill Lynch And Co Inc Institution -6.56 % 2008-05-01 6,466 $159,193 $-19,915 -11.11 % Added More 4,366 207.90 % $-13,447
Metropolitan Life Insurance Co Institution -7.69 % 2008-05-09 20,186 $496,979 $-10,900 -2.14 % Added More 3,672 22.23 % $-1,983
Mfc Global Investment Management Usa Ltd Institution -8.40 % 2008-05-12 9,121 $224,559 $-5,290 -2.30 % Sold Some -1,070 -10.49 % $621
Millennium Management L.L.C. Institution -7.40 % 2008-05-15 13,700 $337,294 $-10,960 -3.14 % Sold Some -2,109 -13.34 % $1,687
Morgan Stanley Institution -9.61 % 2008-05-15 125,726 $3,095,374 $-100,581 -3.14 % Added More 70,855 129.13 % $-56,684
Multimanager Small Cap Value Portfolio (Axa Premier Vip Trust) Small-Cap Value -13.62 % 2008-05-29 None - - - % Sold All -194,789 -100.00 % $126,613
Munder Energy Fund (Munder Series Trust) Specialty & Misc -11.16 % 2008-05-28 3,482 $85,727 $-1,706 -1.95 % New Holding 3,482 100.00 % $-1,706
Nationwide Mutual Funds Institution -0.82 % 2008-07-01 114,857 $2,827,779 $241,200 9.32 % No Compare - - % -
New York Life Investment Management Llc Institution -9.48 % 2008-05-15 24,150 $594,573 $-19,320 -3.14 % Sold Some -1,297 -5.09 % $1,038
New York State Common Retirement Fund Institution -12.43 % 2008-05-08 52,541 % Added More 5,400 11.45 %
Nisa Investment Advisors L L C Institution % 2008-04-15 20,200 % No Change 20,200 0 % -
Norges Bank Institution -8.50 % 2008-05-09 92,696 $2,282,176 $-50,056 -2.14 % Added More 25,936 38.84 % $-14,005
Northern Trust Co Of Connecticut Institution -9.42 % 2008-05-13 154,540 $3,804,775 $-88,088 -2.26 % Added More 23,740 18.14 % $-13,532
Northern Trust Corp Institution -8.86 % 2008-05-15 222,006 $5,465,788 $-177,605 -3.14 % Sold Some -16,580 -6.94 % $13,264
Obermeyer Asset Management Co Institution % 2008-07-17 None - - - % Sold All -450 -100.00 %
Omega Bank N A Institution -6.15 % 2008-04-16 800 $19,696 $-3,240 -14.12 % No Change 800 0 % -
Oppenheimer Funds Inc Institution % 2008-05-14 142,866 % Added More 2,826 2.01 %
Oshaughnessy Asset Management Llc Institution -6.75 % 2008-04-30 698,274 $17,191,506 $-1,731,720 -9.15 % Sold Some -37,780 -5.13 % $93,694
Pacific Select Fund (Pacific Select Fund) Pacific Region -9.64 % 2008-05-30 28,400 $699,208 $-36,352 -4.94 % No Compare - - % -
Padco Advisors Ii Inc Institution -7.49 % 2008-05-15 357 $8,789 $-286 -3.14 % Sold Some -443 -55.37 % $354
Padco Advisors Inc Institution -7.33 % 2008-05-15 1,620 $39,884 $-1,296 -3.14 % Sold Some -620 -27.67 % $496
Paradigm Capital Management Inc Institution -2.99 % 2008-05-13 407,500 $10,032,650 $-232,275 -2.26 % Added More 6,200 1.54 % $-3,534
Parametric Portfolio Associates Institution -7.80 % 2008-04-21 None - - - % Sold All -10,758 -100.00 % $40,880
Partners Smallcap Value Fund (Principal Investors Fund Inc) Small-Cap Value 5.78 % 2008-07-07 3,853 $94,861 $12,175 14.72 % No Compare - - % -
Partners Smallcap Value Fund I (Principal Investors Fund Inc) Small-Cap Value 6.58 % 2008-07-07 18,801 $462,881 $59,411 14.72 % No Compare - - % -
Perella Weinberg Partners Capital Management Lp Institution -6.31 % 2008-05-15 11,200 $275,744 $-8,960 -3.14 % New Holding 11,200 100.00 % $-8,960
Pggm Institution % 2008-05-14 None - - - % Sold All -11,497 -100.00 %
Pnc Financial Services Group Inc Institution -7.92 % 2008-05-12 587 $14,452 $-340 -2.30 % Added More 87 17.40 % $-50
Principal Financial Group Inc Institution -8.48 % 2008-05-15 70,904 $1,745,656 $-56,723 -3.14 % Added More 923 1.31 % $-738
Profund Advisors Llc Institution -8.11 % 2008-05-13 10,092 $248,465 $-5,752 -2.26 % Sold Some -760 -7.00 % $433
Prudential Financial Inc Institution % 2008-05-14 48,460 % Added More 2,734 5.97 %
Public Employees Retirement Association Of Colorado Institution -8.32 % 2008-05-13 17,800 $438,236 $-10,146 -2.26 % No Change 17,800 0 % -
Public Employees Retirement System Of Ohio Institution -7.38 % 2008-06-03 31,838 $783,852 $-24,515 -3.03 % Sold Some -3,400 -9.64 % $2,618
Putnam Vt Small Cap Value Fund (Putnam Variable Trust) Small-Cap Value -8.92 % 2008-05-30 204,508 $5,034,987 $-261,770 -4.94 % No Compare - - % -
Quantlab Capital Management Ltd Institution -8.38 % 2008-05-15 762 $18,760 $-610 -3.14 % New Holding 762 100.00 % $-610
Rbc Dain Rauscher Inc Institution % 2008-05-14 None - - - % Sold All -100 -100.00 %
Renaissance Technologies Corp Institution -7.52 % 2008-05-15 21,122 $520,024 $-16,898 -3.14 % New Holding 21,122 100.00 % $-16,898
Revenueshares Small Cap Fund (Revenueshares Etf Trust) Small-Cap Core -6.11 % 2008-05-30 342 $8,420 $-438 -4.94 % No Compare - - % -
Riversource Disciplined Small And Mid Cap Equity Fund (Riversource Dimensions Series Inc) Small-Cap Core -7.41 % 2008-06-27 None - - - % Sold All -1,415 -100.00 % $-2,476
Riversource Disciplined Small Cap Value Fund (Riversource Dimensions Series Inc) Small-Cap Value -7.40 % 2008-06-27 3,138 $77,258 $5,492 7.65 % Sold Some -2,761 -46.80 % $-4,832
Riversource Small Company Index Fund (Riversource Market Advantage Series Inc) Small-Cap Core -7.41 % 2008-06-27 32,834 $808,373 $57,460 7.65 % Sold Some -2,310 -6.57 % $-4,043
Riversource Strategic Allocation Fund (Riversource Strategic Allocation Series Inc) Flexible Portfolio -6.02 % 2008-06-04 None - - - % Sold All -14,035 -100.00 % $13,614
Rochdale Large Value Portfolio (Rochdale Investment Trust) Large-Cap Value -4.97 % 2008-06-25 None - - - % Sold All -2,450 -100.00 % $-515
Roxbury Capital Management Institution -4.26 % 2008-05-15 90 $2,216 $-72 -3.14 % New Holding 90 100.00 % $-72
Royce And Associates Llc Institution -2.89 % 2008-05-08 778,400 % Added More 21,900 2.89 %
Russell 2000 Index Portfolio (Metropolitan Series Fund Inc) Specialty & Misc -5.17 % 2008-05-21 14,481 $356,522 $-11,440 -3.10 % No Compare - - % -
Schwab Charles Investment Management Inc Institution % 2008-05-14 3,620 % Sold Some -139 -3.69 %
Small Cap Blend Index Fund (Tiaa Cref Institutional Mutual Funds) Small-Cap Core -7.14 % 2008-06-05 4,322 $106,408 $-8,990 -7.79 % No Compare - - % -
Small Cap Growth Fund (Penn Series Funds Inc) Small-Cap Growth -6.04 % 2008-05-30 62,800 $1,546,136 $-80,384 -4.94 % No Compare - - % -
Small Cap Growth Index Fund (Tiaa Cref Institutional Mutual Funds) Small-Cap Growth -6.21 % 2008-06-05 1,530 $37,669 $-3,182 -7.79 % No Compare - - % -
Small Cap Growth Stock Fund (Sti Classic Funds) Small-Cap Growth -3.63 % 2008-06-06 None - - - % Sold All -154,209 -100.00 % $100,236
Small Cap Stock Index Portfolio (Dreyfus Investment Portfolios) Small-Cap Core -4.40 % 2008-05-22 13,800 $339,756 $-6,072 -1.75 % No Compare - - % -
Small Cap Value Fund (American Century Capital Portfolios Inc) Small-Cap Value -4.94 % 2008-06-04 205,000 $5,047,100 $-198,850 -3.79 % Added More 125,000 156.25 % $-121,250
Small Cap Value Index Fund (Tiaa Cref Institutional Mutual Funds) Small-Cap Value -8.24 % 2008-06-05 3,970 $97,741 $-8,258 -7.79 % No Compare - - % -
Smallcap Growth Account (Principal Variable Contracts Fund Inc) Small-Cap Growth -5.49 % 2008-05-29 6,200 $152,644 $-4,030 -2.57 % No Compare - - % -
Smallcap Value Account (Principal Variable Contracts Fund Inc) Small-Cap Value -7.00 % 2008-05-29 6,200 $152,644 $-4,030 -2.57 % No Compare - - % -
Snyder Capital Management L P Institution -4.59 % 2008-05-13 1,063,532 $26,184,158 $-606,213 -2.26 % Added More 692,002 186.25 % $-394,441
Soros Fund Management Llc Institution -7.13 % 2008-05-15 8,272 $203,657 $-6,618 -3.14 % New Holding 8,272 100.00 % $-6,618
State Board Of Administration Of Florida Retirement System Institution -7.02 % 2008-04-23 35,050 $862,931 $-117,418 -11.97 % No Change 35,050 0 % -
State Farm Equity Fund (State Farm Mutual Fund Trust) Specialty & Misc -8.76 % 2008-05-27 5,646 $139,005 $-1,637 -1.16 % No Compare - - % -
Sterling Johnston Capital Management Lp Institution -7.05 % 2008-05-12 213,350 $5,252,677 $-123,743 -2.30 % Sold Some -69,900 -24.67 % $40,542
Stock Index Account (Tiaa Separate Account Va 1) Specialty & Misc -8.32 % 2008-05-30 1,612 $39,687 $-2,063 -4.94 % New Holding 1,612 100.00 % $-2,063
Strs Ohio Institution -6.27 % 2008-04-17 36,953 $909,783 $-133,031 -12.75 % Sold Some -2,500 -6.33 % $9,000
Summit Investment Partners Inc Institution % 2008-05-14 1,688 % No Change 1,688 0 % -
Suntrust Banks Inc Institution -9.51 % 2008-05-08 10,000 % Sold Some -190,054 -95.00 %
Systematic Active Small Cap Value Portfolio (Morgan Stanley Institutional Fund Inc) Small-Cap Value -7.43 % 2008-05-29 924 $22,749 $-601 -2.57 % No Compare - - % -
Systematic Large Cap Core Active Extension Portfolio (Morgan Stanley Institutional Fund Inc) Large-Cap Core -9.63 % 2008-05-29 1,206 $29,692 $-784 -2.57 % No Compare - - % -
Target Managed Vip Portfolio (First Defined Portfolio Fund Llc) Specialty & Misc -8.32 % 2008-05-30 16,369 $403,005 $-20,952 -4.94 % New Holding 16,369 100.00 % $-20,952
Teachers Advisors Inc Institution % 2008-05-14 14,839 % Added More 1,210 8.87 %
Texas Permanent School Fund Institution -8.61 % 2008-05-30 35,434 $872,385 $-45,356 -4.94 % No Change 35,434 0 % -
The Gabelli Abc Fund (Gabelli Investor Funds Inc) Specialty & Misc -5.60 % 2008-05-30 7,000 $172,340 $-8,960 -4.94 % No Change 7,000 0 % -
The Gabelli Asset Fund (Gabelli Asset Fund) Specialty & Misc -7.74 % 2008-05-30 110,000 $2,708,200 $-140,800 -4.94 % No Change 110,000 0 % -
The Gabelli Small Cap Growth Fund (Gabelli Equity Series Funds Inc) Small-Cap Growth -4.70 % 2008-06-02 453,370 $11,161,969 $-267,488 -2.34 % Added More 3,370 0.74 % $-1,988
The Merger Arbitrage 1 Portfolio (Underlying Funds Trust) Specialty & Misc -3.83 % 2008-05-29 8,500 $209,270 $-5,525 -2.57 % No Compare - - % -
The United States Treasury Trust (California Investment Trust) Specialty & Misc -7.00 % 2008-05-09 1,048 $25,802 $-566 -2.14 % New Holding 1,048 100.00 % $-566
Thomas White International Ltd Institution % 2008-07-16 4,537 % No Change 4,537 0 % -
Thrivent Financial For Lutherans Institution -7.52 % 2008-05-01 17,800 $438,236 $-54,824 -11.11 % Sold Some -600 -3.26 % $1,848
Tiaa Cref Investment Management Llc Institution % 2008-05-14 155,399 % Added More 5,050 3.35 %
True Bearing Asset Management Lp Institution -4.58 % 2008-05-15 None - - - % Sold All -40,433 -100.00 % $32,346
Trust Co Of Vermont Institution -6.55 % 2008-04-28 540 $13,295 $-1,944 -12.75 % No Change 540 0 % -
Turner Emerging Growth Fund (Turner Funds) Small-Cap Growth -3.77 % 2008-06-09 None - - - % Sold All -133,890 -100.00 % $-25,439
Turner Investment Partners Inc Institution -7.81 % 2008-05-09 None - - - % Sold All -199,527 -100.00 % $107,745
Ubs Ag Institution -9.63 % 2008-05-13 2,756 $67,853 $-1,571 -2.26 % No Change 2,756 0 % -
Ultra Industrials Proshares (Proshares Trust) Specialty & Misc -7.41 % 2008-04-25 114 $2,807 $-397 -12.38 % Sold Some -15 -11.62 % $52
Ultra Midcap400 Proshares (Proshares Trust) Mid-Cap Core -3.73 % 2008-04-25 705 $17,357 $-2,453 -12.38 % New Holding 705 100.00 % $-2,453
Ultra Russell2000 Growth Proshares (Proshares Trust) Multi-Cap Growth 0.15 % 2008-04-25 95 $2,339 $-331 -12.38 % Sold Some -12 -11.21 % $42
Ultra Russell2000 Value Proshares (Proshares Trust) Multi-Cap Value -4.16 % 2008-04-25 247 $6,081 $-860 -12.38 % No Compare - - % -
Us Bancorp De Institution -7.49 % 2008-05-15 320 $7,878 $-256 -3.14 % No Change 320 0 % -
Value Fund (Diversified Investors Funds Group Ii) Small-Cap Core -8.39 % 2008-05-29 17,000 $418,540 $-11,050 -2.57 % New Holding 17,000 100.00 % $-11,050
Value Fund (Diversified Investors Funds Group) Multi-Cap Value -8.39 % 2008-05-29 17,000 $418,540 $-11,050 -2.57 % New Holding 17,000 100.00 % $-11,050
Value Line Inc Institution -6.92 % 2008-05-15 9,800 $241,276 $-7,840 -3.14 % New Holding 9,800 100.00 % $-7,840
Value Portfolio (Diversified Investors Portfolios) Multi-Cap Value -8.27 % 2008-05-29 8,500 $209,270 $-5,525 -2.57 % New Holding 8,500 100.00 % $-5,525
Vanguard Group Inc Institution -8.57 % 2008-05-01 797,527 $19,635,115 $-2,456,383 -11.11 % Added More 769,528 2748.41 % $-2,370,146
Veritable L P Institution -5.70 % 2008-04-29 15,000 $369,300 $-42,450 -10.30 % New Holding 15,000 100.00 % $-42,450
Vtl Associates Llc Institution -10.18 % 2008-05-15 2,218 $54,607 $-1,774 -3.14 % No Change 2,218 0 % -
Weik Investment Services Inc Institution % 2008-05-14 8,000 % No Change 8,000 0 % -
Wells Fargo And Co Institution -8.48 % 2008-05-15 777,470 $19,141,311 $-621,976 -3.14 % Sold Some -53,765 -6.46 % $43,012
Westport Resources Management Inc Institution -7.84 % 2008-04-28 1,753 $43,159 $-6,311 -12.75 % No Change 1,753 0 % -
Westwood Balanced Fund (Westwood Funds) Mixed-Asset Target Al ... -8.10 % 2008-06-02 3,365 $82,846 $-1,985 -2.34 % New Holding 3,365 100.00 % $-1,985
Wilmington Fundamentally Weighted Large Company Fund (Wt Mutual Fund) Large-Cap Core -8.93 % 2008-05-29 100 $2,462 $-65 -2.57 % No Compare - - % -
Wilshire Small Company Growth Portfolio (Wilshire Mutual Funds Inc) Small-Cap Growth -2.43 % 2008-05-23 814 $20,041 $-24 -0.12 % No Compare - - % -
Wilshire Small Company Value Portfolio (Wilshire Mutual Funds Inc) Small-Cap Value -3.76 % 2008-05-23 None - - - % Sold All -2,372 -100.00 % $71
Wisdomtree Smallcap Dividend Fund (Wisdomtree Trust) Small-Cap Core -7.32 % 2008-06-06 2,657 $65,415 $-1,727 -2.57 % Sold Some -404 -13.19 % $263
Wisdomtree Smallcap Earnings Fund (Wisdomtree Trust) Small-Cap Core -4.37 % 2008-06-06 612 $15,067 $-398 -2.57 % No Change 612 0 % -
World Asset Management Inc Institution % 2008-05-14 4,249 % No Change 4,249 0 % -
Zacks Investment Management Institution -8.39 % 2008-05-16 3,909 $96,240 $-4,339 -4.31 % New Holding 3,909 100.00 % $-4,339
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Listed 222 holdings.
   

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