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Evergreen Energy Inc (KFX.BE)

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Industry: Energy-Alternate SourcesCountry: United States
 
Number of funds
Global RankCountry RankIndustry Rank
Owned:
122
2239204611
Score:
-0.03
7273--
Brand New:
11
2927261727
Increased Existing:
27
2406--
No Change:
25
967--
Reduced Existing:
27
2020--
Liquidated:
13
2530229620
No Comparison Available:
19
---
Funds buying shares:
38
2638242718
Buying %:
36.89 %
6609420049
Funds not buying/selling shares:
25
---
Neutral %:
24.27 %
---
Funds selling shares:
40
2261207710
Selling %:
38.83 %
5220310831
   

Evergreen Energy Inc (KFX.BE) 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 -0.27 % 2008-07-30 1,974,743 $3,080,599 $-98,737 -3.10 % Sold Some -54,622 -2.69 % $2,731
Accessor Small To Mid Cap Fund (Accessor Funds Inc) Mid-Cap Core -7.56 % 2008-05-30 None - - - % Sold All -91,100 -100.00 % $75,613
American International Group Inc Institution 0.36 % 2008-08-14 77,656 $121,143 $17,084 16.41 % Added More 4,870 6.69 % $1,071
Ameriprise Financial Inc Institution 0.63 % 2008-08-12 2,205 $3,440 $441 14.70 % Sold Some -1,470 -40.00 % $-294
Amvescap Plc Institution 1.47 % 2008-08-21 457,038 $712,979 $-137,111 -16.12 % Added More 341,338 295.01 % $-102,401
Avenir Corp Institution -0.96 % 2008-08-11 26,300 $41,028 $3,156 8.33 % Sold Some -1,500 -5.39 % $-180
Axa Institution 0.21 % 2008-08-14 140,810 $219,664 $30,978 16.41 % Added More 136,800 3411.47 % $30,096
Balanced Portfolio (Variable Insurance Products Iii) Flexible Portfolio 0.00 % 2008-08-28 117,045 $182,590 $0 0.00 % No Compare - - % -
Bank Of America Corp Institution 0.81 % 2008-08-12 25,945 $40,474 $5,189 14.70 % Sold Some -30,813 -54.28 % $-6,163
Bank Of New York Mellon Corp Institution 0.61 % 2008-08-14 300,504 $468,786 $66,111 16.41 % Added More 1,898 0.63 % $418
Barclays Global Investors Uk Holdings Ltd Institution 2.21 % 2008-07-25 3,693,750 $5,762,250 $332,438 6.12 % Added More 276,012 8.07 % $24,841
Barclays Plc Institution 1.56 % 2008-08-12 169,290 $264,092 $33,858 14.70 % No Change 169,290 0 % -
Bear Stearns And Co Inc Institution -5.95 % 2008-05-15 13,622 $21,250 $4,087 23.80 % No Change 13,622 0 % -
Blackrock Advisors Llc Institution 2.56 % 2008-08-07 809,800 $1,263,288 $64,784 5.40 % Added More 404,900 100.00 % $32,392
Blackrock Inc Institution 1.38 % 2008-08-06 1,173,500 $1,830,660 $58,675 3.31 % Sold Some -55,000 -4.47 % $-2,750
Blackrock Investment Management Llc Institution 3.87 % 2008-08-04 164,319 $256,338 $6,573 2.63 % Sold Some -45,781 -21.79 % $-1,831
Blue Ridge Capital Holdings Llc Institution 2.76 % 2008-08-14 2,675,000 $4,173,000 $588,500 16.41 % No Change 2,675,000 0 % -
Bnp Paribas Arbitrage Sa Institution 1.77 % 2008-08-13 25,796 $40,242 $5,417 15.55 % Sold Some -147 -0.56 % $-31
Broadmark Asset Management Llc Institution 2.79 % 2008-08-14 11,984 $18,695 $2,636 16.41 % No Change 11,984 0 % -
California Public Employees Retirement System Institution 4.05 % 2008-08-04 111,300 $173,628 $4,452 2.63 % No Change 111,300 0 % -
Catalyst Investment Management Co Llc Institution 0.46 % 2008-08-12 250,000 $390,000 $50,000 14.70 % Added More 50,000 25.00 % $10,000
Chevy Chase Bank Institution 0.58 % 2008-08-12 90,000 $140,400 $18,000 14.70 % New Holding 90,000 100.00 % $18,000
Citigroup Inc Institution 0.70 % 2008-08-14 181,798 $283,605 $39,996 16.41 % Added More 14,434 8.62 % $3,175
Claymore Advisors Llc Institution 2.23 % 2008-08-07 1,319,854 $2,058,972 $105,588 5.40 % Added More 773,392 141.52 % $61,871
Comerica Bank Institution 0.80 % 2008-08-13 10,392 $16,212 $2,182 15.55 % No Change 10,392 0 % -
Credit Suisse/ Institution 0.91 % 2008-08-14 833,004 $1,299,486 $183,261 16.41 % Added More 349,389 72.24 % $76,866
Dimensional Fund Advisors Inc Institution 3.20 % 2008-08-01 636,731 $993,300 $0 0.00 % Sold Some -35,300 -5.25 % $0
Dow Jones Wilshire 5000 Index Portfolio (Wilshire Mutual Funds Inc) Multi-Cap Core -3.21 % 2008-05-23 None - - - % Sold All -900 -100.00 % $81
Dws Small Cap Index Vip (Dws Investments Vit Funds) Small-Cap Core 1.96 % 2008-08-21 21,300 $33,228 $-6,390 -16.12 % No Compare - - % -
Equity (Security Equity Fund) Large-Cap Core -5.46 % 2008-06-02 None - - - % Sold All -547,600 -100.00 % $312,132
Equity Index Fund (Tiaa Cref Institutional Mutual Funds) Specialty & Misc 2.12 % 2008-08-25 44,507 $69,431 $-12,462 -15.21 % No Compare - - % -
Ferris Baker Watts Incorporated Institution 3.03 % 2008-08-07 20,000 $31,200 $1,600 5.40 % No Change 20,000 0 % -
Financial Architects Inc Institution 2.33 % 2008-07-22 250 $390 $-25 -6.02 % No Change 250 0 % -
First New York Securities Llc Institution 1.73 % 2008-08-13 1,128,850 $1,761,006 $237,059 15.55 % Added More 120,660 11.96 % $25,339
Fmr Corp Institution 0.58 % 2008-08-14 9,220,875 $14,384,565 $2,028,593 16.41 % Sold Some -664,214 -6.71 % $-146,127
Gartmore Mutual Fund Capital Trust Institution 0.27 % 2008-08-14 1,935,469 $3,019,332 $425,803 16.41 % No Compare - - % -
Geode Capital Management Llc Institution 0.61 % 2008-08-14 89,563 $139,718 $19,704 16.41 % No Change 89,563 0 % -
Gme Capital Llc Institution -0.71 % 2008-07-29 207,600 $323,856 $-10,380 -3.10 % No Change 207,600 0 % -
Goldman Sachs Group Inc Institution 0.46 % 2008-08-14 587,184 $916,007 $129,180 16.41 % Added More 330,861 129.07 % $72,789
Great Oaks Capital Management Llc Institution 0.71 % 2008-08-14 15,600 $24,336 $3,432 16.41 % New Holding 15,600 100.00 % $3,432
Growth Equity Fund (Tiaa Cref Institutional Mutual Funds) Multi-Cap Growth 1.21 % 2008-08-25 9,402 $14,667 $-2,633 -15.21 % No Compare - - % -
Guaranty Trust Co Of Missouri Institution 2.67 % 2008-08-05 100 $156 $4 2.63 % No Change 100 0 % -
Harris Financial Corp Institution 0.42 % 2008-07-09 129,950 $202,722 $0 0.00 % No Change 129,950 0 % -
Hartwell J M Limited Partnership Institution -6.98 % 2008-07-15 368,100 $574,236 $0 0.00 % Added More 800 0.21 % $0
Hollencrest Securities Llc Institution 4.05 % 2008-07-31 250,100 $390,156 $-2,501 -0.63 % No Change 250,100 0 % -
Hound Partners Llc Institution 6.12 % 2008-08-14 105,000 $163,800 $23,100 16.41 % No Change 105,000 0 % -
Hsbc Holdings Plc Institution 0.12 % 2008-08-14 22,565 $35,201 $4,964 16.41 % Sold Some -40,000 -63.93 % $-8,800
Ing Investments Llc Institution 0.33 % 2008-08-12 None - - - % Sold All -82,975 -100.00 % $-16,595
Keybank National Association Institution 0.86 % 2008-08-13 14,800 $23,088 $3,108 15.55 % No Change 14,800 0 % -
Lehman Brothers Holdings Inc Institution 1.12 % 2008-08-13 14,040 $21,902 $2,948 15.55 % New Holding 14,040 100.00 % $2,948
M And T Bank Corp Institution 2.99 % 2008-07-29 20,000 $31,200 $-1,000 -3.10 % No Change 20,000 0 % -
Manning And Napier Advisors Inc Institution 0.87 % 2008-08-14 1,811,415 $2,825,807 $398,511 16.41 % Added More 1,194,850 193.79 % $262,867
Merrill Lynch And Co Inc Institution 0.96 % 2008-08-07 160,390 $250,208 $12,831 5.40 % Sold Some -179,285 -52.78 % $-14,343
Metropolitan Life Insurance Co Institution -0.14 % 2008-08-11 None - - - % Sold All -68,515 -100.00 % $-8,222
Mfc Global Investment Management Usa Ltd Institution 1.69 % 2008-07-30 40,997 $63,955 $-2,050 -3.10 % Added More 35,981 717.32 % $-1,799
Mid Cap Portfolio (Variable Insurance Products Iii) Mid-Cap Core 0.00 % 2008-08-28 465,839 $726,709 $0 0.00 % No Compare - - % -
Miller Investment Management Lp Institution 1.83 % 2008-08-07 56,700 $88,452 $4,536 5.40 % No Change 56,700 0 % -
Morgan Stanley Institution % 2008-08-15 166,561 % Sold Some -70,776 -29.82 %
Nationwide Mutual Funds Institution 1.62 % 2008-07-01 1,935,469 $3,019,332 $116,128 4.00 % No Compare - - % -
Natixis Institution -12.50 % 2008-05-15 None - - - % Sold All -16,506 -100.00 % $-4,952
Natural Gas Portfolio (Fidelity Select Portfolios) Natural Resources -4.80 % 2008-07-30 5,399,315 $8,422,931 $-269,966 -3.10 % No Compare - - % -
Neuberger Berman Llc Institution % 2008-08-15 96,498 % Sold Some -13,167 -12.00 %
Nisa Investment Advisors L L C Institution 5.09 % 2008-07-28 None - - - % Sold All -10,000 -100.00 % $-800
None (Morgan Stanley Total Market Index Fund) Specialty & Misc 1.18 % 2008-06-26 963 $1,502 $0 0.00 % No Compare - - % -
Northern Trust Corp Institution 0.93 % 2008-08-13 656,562 $1,024,237 $137,878 15.55 % Added More 25,708 4.07 % $5,399
Oppenheimer Funds Inc Institution 1.28 % 2008-08-18 800 $1,248 $176 16.41 % Added More 200 33.33 % $44
Padco Advisors Ii Inc Institution 0.59 % 2008-08-14 467 $729 $103 16.41 % Added More 307 191.87 % $68
Padco Advisors Inc Institution 0.18 % 2008-08-14 313 $488 $69 16.41 % New Holding 313 100.00 % $69
Partners Smallcap Value Fund (Principal Investors Fund Inc) Small-Cap Value 8.94 % 2008-07-07 10,576 $16,499 $-1,798 -9.82 % No Compare - - % -
Peak6 Investments L P Institution 1.53 % 2008-08-14 8,807 $13,739 $1,938 16.41 % Added More 8,043 1052.74 % $1,769
Pnc Financial Services Group Inc Institution 0.73 % 2008-08-14 None - - - % Sold All -3,600 -100.00 % $-792
Price T Rowe Associates Inc Institution -0.23 % 2008-08-14 10,500 $16,380 $2,310 16.41 % New Holding 10,500 100.00 % $2,310
Proshare Advisors Llc Institution 2.16 % 2008-08-01 10,347 $16,141 $0 0.00 % New Holding 10,347 100.00 % $0
Provident Advisors Llc Institution 1.17 % 2008-07-31 None - - - % Sold All -20,000 -100.00 % $200
Prudential Financial Inc Institution 0.52 % 2008-08-08 12,415 $19,367 $1,242 6.84 % New Holding 12,415 100.00 % $1,242
Public Employees Retirement Association Of Colorado Institution 3.22 % 2008-07-29 34,800 $54,288 $-1,740 -3.10 % No Change 34,800 0 % -
Public Employees Retirement System Of Ohio Institution 1.44 % 2008-07-30 114,746 $179,004 $-5,737 -3.10 % Sold Some -4,344 -3.64 % $217
Rbc Dain Rauscher Inc Institution 1.08 % 2008-08-14 66,000 $102,960 $14,520 16.41 % Added More 41,000 164.00 % $9,020
Rbc Professional Trader Group Llc Institution -3.02 % 2008-07-23 31,300 $48,828 $-2,817 -5.45 % Added More 27,800 794.28 % $-2,502
Royal Bank Of Scotland Group Plc Institution 0.96 % 2008-08-14 76,091 $118,702 $16,740 16.41 % No Change 76,091 0 % -
Rydex Inverse Russell 2000 Etf (Rydex Etf Trust) Specialty & Misc 7.89 % 2008-07-07 720 $1,123 $-122 -9.82 % Added More 370 105.71 % $-63
Sa International Small Company Fund (Sa Funds Investment Trust) Small-Cap Core 1.09 % 2008-05-23 15,800 $24,648 $-1,422 -5.45 % New Holding 15,800 100.00 % $-1,422
Schwab Charles Investment Management Inc Institution 0.48 % 2008-08-14 16,657 $25,985 $3,665 16.41 % Sold Some -84,800 -83.58 % $-18,656
Scott And Stringfellow Financial Inc Institution 3.21 % 2008-07-18 20,800 $32,448 $-4,160 -11.36 % No Compare - - % -
Security Management Co Llc Institution 1.58 % 2008-08-13 5,493,800 $8,570,328 $1,153,698 15.55 % Added More 51,500 0.94 % $10,815
Sg Americas Securities Llc Institution 2.50 % 2008-08-07 52,740 $82,274 $4,219 5.40 % Added More 38,997 283.75 % $3,120
Shaw D E And Co Inc Institution 0.57 % 2008-08-14 491,625 $766,935 $108,158 16.41 % Sold Some -92,402 -15.82 % $-20,328
Small Cap Index Fund (Valic Co I) Small-Cap Core 1.49 % 2008-08-08 67,012 $104,539 $6,701 6.84 % Sold Some -4,160 -5.84 % $-416
Small Cap Index Trust (John Hancock Trust) Small-Cap Core -4.27 % 2008-05-30 None - - - % Sold All -26,303 -100.00 % $21,831
Small Cap Portfolio (Seasons Series Trust) Small-Cap Core -2.16 % 2008-06-06 4,774 $7,447 $-2,339 -23.90 % Added More 249 5.50 % $-122
Sound Energy Partners Inc Institution 8.77 % 2008-08-11 1,270,392 $1,981,812 $152,447 8.33 % No Change 1,270,392 0 % -
Ssga Enhanced Small Cap Fund (Ssga Funds) Small-Cap Core 2.99 % 2008-07-29 2,600 $4,056 $-130 -3.10 % No Compare - - % -
State Board Of Administration Of Florida Retirement System Institution 1.33 % 2008-07-30 95,511 $148,997 $-4,776 -3.10 % No Change 95,511 0 % -
Steelhead Partners Llc Institution 7.35 % 2008-08-13 5,999,464 $9,359,164 $1,259,887 15.55 % Sold Some -37,284 -0.61 % $-7,830
Strs Ohio Institution 3.54 % 2008-07-24 0 $0 % Sold Some -2,500,000 -100.00 % $225,000
Summit Investment Partners Inc Institution 0.20 % 2008-08-14 6,516 $10,165 $1,434 16.41 % No Change 6,516 0 % -
Symons Capital Management Inc Institution -1.24 % 2008-08-12 44,580 $69,545 $8,916 14.70 % Added More 4,610 11.53 % $922
T Rowe Price Equity Index 500 Fund (T Rowe Price Index Trust Inc) S&P 500 Index 1.85 % 2008-08-25 5,100 $7,956 $-1,428 -15.21 % No Compare - - % -
Teachers Advisors Inc Institution 0.21 % 2008-08-14 223,753 $349,055 $49,226 16.41 % Added More 175,287 361.67 % $38,563
Tfs Market Neutral Fund (Tfs Capital Investment Trust) Specialty & Misc -4.20 % 2008-05-30 161,024 $251,197 $-133,650 -34.72 % New Holding 161,024 100.00 % $-133,650
Tiaa Cref Investment Management Llc Institution 0.46 % 2008-08-14 500,747 $781,165 $110,164 16.41 % Sold Some -63,087 -11.18 % $-13,879
Total Stock Market Index Trust (John Hancock Trust) Specialty & Misc -8.14 % 2008-05-30 None - - - % Sold All -2,740 -100.00 % $2,274
Trust Co Of Vermont Institution 3.34 % 2008-07-29 100 $156 $-5 -3.10 % No Change 100 0 % -
Ubs Ag Institution 0.25 % 2008-08-11 86,490 $134,924 $10,379 8.33 % Sold Some -75,351 -46.55 % $-9,042
Ultra Russell2000 Growth Proshares (Proshares Trust) Multi-Cap Growth 0.75 % 2008-08-08 342 $534 $34 6.84 % No Compare - - % -
Ultra Russell2000 Value Proshares (Proshares Trust) Multi-Cap Value 2.44 % 2008-08-08 827 $1,290 $83 6.84 % No Compare - - % -
Us Bancorp De Institution 0.76 % 2008-08-14 7,170 $11,185 $1,577 16.41 % Sold Some -30 -0.41 % $-7
Vanguard 500 Index Fund (Vanguard Index Funds) S&P 500 Index -6.81 % 2008-05-30 937,111 $1,461,893 $-777,802 -34.72 % No Compare - - % -
Vanguard Balanced Index Fund (Vanguard Balanced Index Funds) Mixed-Asset Target Al ... -6.93 % 2008-05-30 52,194 $81,423 $-43,321 -34.72 % No Change 52,194 0 % -
Vanguard Extended Market Index Fund (Vanguard Index Funds) Mid-Cap Core -6.29 % 2008-05-30 372,988 $581,861 $-309,580 -34.72 % New Holding 372,988 100.00 % $-309,580
Vanguard Group Inc Institution 0.78 % 2008-08-06 7,176 $11,195 $359 3.31 % Sold Some -1,975,426 -99.63 % $-98,771
Vanguard Institutional Total Stock Market Index Fund (Vanguard Institutional Index Funds) Specialty & Misc -7.25 % 2008-05-30 130,819 $204,078 $-108,580 -34.72 % No Compare - - % -
Vanguard Small Cap Growth Index Fund (Vanguard Index Funds) Small-Cap Growth -3.90 % 2008-05-30 212,836 $332,024 $-176,654 -34.72 % No Compare - - % -
Vanguard Total Stock Market Index Fund (Vanguard Index Funds) Multi-Cap Core -7.13 % 2008-05-30 49,036 $76,496 $-40,700 -34.72 % Sold Some -655,032 -93.03 % $543,677
Vanguard Value Index Fund (Vanguard Index Funds) Large-Cap Value -8.26 % 2008-05-30 None - - - % Sold All -229,080 -100.00 % $190,136
Vicis Capital Llc Institution 2.31 % 2008-08-14 118,422 $184,738 $26,053 16.41 % New Holding 118,422 100.00 % $26,053
Wells Fargo And Co Institution 0.75 % 2008-08-13 6,000 $9,360 $1,260 15.55 % No Change 6,000 0 % -
Westcliff Capital Management Llc/Ca Institution 2.25 % 2008-08-14 7,592,337 $11,844,046 $1,670,314 16.41 % Sold Some -21,027,218 -73.47 % $-4,625,988
Wilmington Fundamentally Weighted Large Company Fund (Wt Mutual Fund) Large-Cap Core -6.81 % 2008-05-29 40 $62 $-15 -19.58 % No Compare - - % -
Wilshire Small Company Value Portfolio (Wilshire Mutual Funds Inc) Small-Cap Value -1.10 % 2008-05-23 None - - - % Sold All -13,670 -100.00 % $1,230
Wood George F Institution % 2008-07-17 775,166 % Sold Some -5,250 -0.67 %
World Asset Management Inc Institution 0.49 % 2008-08-14 10,228 $15,956 $2,250 16.41 % Sold Some -1,229 -10.72 % $-270
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Listed 122 holdings.
   

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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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