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Micrus Endovascular Corp (NASDAQ:MEND)

Page Created: 2009-01-08 06:53:00-08Last Activity: 2009-01-06Industry: Medical InstrumentsCountry: United States

Micrus Endovascular Corp (NASDAQ:MEND)
Contact Information

821 Fox Lane, San Jose, Ca 95131,, United States
Phone: 408-433-1400, Fax: 408-433-1401, Website: http://www.micruscorp.com

Micrus Endovascular Corp (NASDAQ:MEND)
ISIN International Securities Identification Number

ISIN(s): US59518V1026

Micrus Endovascular Corp (NASDAQ:MEND)
CUSIP Committee on Uniform Securities Identification Procedures

CUSIP(s): 59518V102

Micrus Endovascular Corp (NASDAQ:MEND)
Stock Symbols and Exchanges

Exchange Symbol Reuters Bloomberg Exchange Name MICR ACCR City Country Website
MEND MEND:US Nasdaq XNAS NASDAQ New York United States www.nasdaq.com

Micrus Endovascular Corp (NASDAQ:MEND)
Rankings

 
Number of funds
Global RankCountry RankIndustry Rank
Owned:
112
2590225925
Score:
-0.03
6580--
Brand New:
15
2790236026
Increased Existing:
28
2322--
No Change:
14
2484--
Reduced Existing:
13
3182--
Liquidated:
24
2165188921
No Comparison Available:
18
---
Funds buying shares:
43
2552223424
Buying %:
45.74 %
3653191528
Funds not buying/selling shares:
14
---
Neutral %:
14.89 %
---
Funds selling shares:
37
2699236025
Selling %:
39.36 %
5887346141
   

Micrus Endovascular Corp (NASDAQ:MEND)
Owners Details

Click on column headings to sort!
Fund Fund Type Fund Perf. Report Date Current Shares Current Value Value Chng. Return Activity Shares Chng. Shares Chg.% Results
Managers Fremont Global Fund (Managers Trust I) Global Flex Port -2.43 % 2009-01-06 28,775 $297,246 $-8,057 -2.63 % Added More 5,300 22.57 % $-1,484
Life Sciences Series (Manning And Napier Fund Inc Ny) Science & Tech % 2008-12-30 283,194 % No Compare - - % -
Bull Profund (Profunds) Large-Cap Core % 2008-12-30 3,528 % Added More 2,304 188.23 %
Fidelity Advisor Health Care Fund (Fidelity Advisor Series Vii) Health/Biotech % 2008-12-30 45,400 % New Holding 45,400 100.00 %
Ishares Russell 3000 Index Fund (Ishares Trust) Specialty & Misc 4.82 % 2008-12-29 3,208 $33,139 $-3,176 -8.74 % No Compare - - % -
Ishares Russell 2000 Index Fund (Ishares Trust) Specialty & Misc 6.43 % 2008-12-29 251,199 $2,594,886 $-248,687 -8.74 % No Compare - - % -
Ishares Russell Microcap Index Fund (Ishares Trust) Specialty & Misc 7.13 % 2008-12-29 16,539 $170,848 $-16,374 -8.74 % No Compare - - % -
Alger Largecap Growth Fund (Alger Funds) Large-Cap Growth 6.04 % 2008-12-29 None - - - % Sold All -3,350 -100.00 % $3,317
Credit Suisse Institution 5.55 % 2008-12-29 None - - - % Sold All -15,381 -100.00 % $15,227
Ishares Russell 2000 Growth Index Fund (Ishares Trust) Multi-Cap Growth 6.85 % 2008-12-29 101,656 $1,050,106 $-100,639 -8.74 % No Compare - - % -
Growth Fund (Usaa Mutual Funds Trust) Multi-Cap Growth 5.16 % 2008-12-29 600 $6,198 $-594 -8.74 % No Compare - - % -
Alger Health Sciences Fund (Alger Funds) Health/Biotech 3.60 % 2008-12-29 145,597 $1,504,017 $-144,141 -8.74 % No Compare - - % -
Ishares Russell 3000 Growth Index Fund (Ishares Trust) Multi-Cap Growth 5.74 % 2008-12-29 1,041 $10,754 $-1,031 -8.74 % No Compare - - % -
Fidelity Nasdaq Composite Index Fund (Fidelity Commonwealth Trust) Specialty & Misc 5.47 % 2008-12-29 376 $3,884 $-372 -8.74 % No Compare - - % -
Primecap Odyssey Aggressive Growth Fund (Primecap Odyssey Funds) Mid-Cap Growth 6.98 % 2008-12-24 315,000 $3,253,950 $-519,750 -13.77 % No Change 0 0 % -
Primecap Odyssey Growth Fund (Primecap Odyssey Funds) Multi-Cap Core 7.20 % 2008-12-24 290,000 $2,995,700 $-478,500 -13.77 % Added More 90,000 45.00 % $-148,500
California Public Employees Retirement System Institution 4.13 % 2008-12-12 74,836 $773,056 $-45,650 -5.57 % Added More 600 0.80 % $-366
Jane Street Holding Llc Institution 4.24 % 2008-12-11 None - - - % Sold All -11,230 -100.00 % $7,524
Small Cap Growth Fund (Sei Institutional Managed Trust) Small-Cap Growth 4.03 % 2008-12-09 73,000 $754,090 $-48,910 -6.09 % No Compare - - % -
Small Cap Portfolio (Seasons Series Trust) Small-Cap Core -3.77 % 2008-12-08 None - - - % Sold All -988 -100.00 % $662
Russell 2000 Small Cap Index Portfolio (Summit Mutual Funds Inc) Small-Cap Core 3.48 % 2008-12-08 1,240 $12,809 $-831 -6.09 % No Compare - - % -
Zenith Portfolio (Summit Mutual Funds Inc) Specialty & Misc 2.26 % 2008-12-08 1,240 $12,809 $-831 -6.09 % New Holding 1,240 100.00 % $-831
The Gabelli Small Cap Growth Fund (Gabelli Equity Series Funds Inc) Small-Cap Growth 10.28 % 2008-12-04 None - - - % Sold All -75,000 -100.00 % $14,250
Westwood Mighty Mites Fund (Westwood Funds) Small-Cap Core 7.58 % 2008-12-04 20,000 $206,600 $-3,800 -1.80 % No Compare - - % -
Dow Jones Wilshire 5000 Index Portfolio (Wilshire Mutual Funds Inc) Multi-Cap Core 2.30 % 2008-12-01 800 $8,264 $-216 -2.54 % No Change 0 0 % -
Ast Global Allocation Portfolio (Advanced Series Trust) Global Flex Port 3.44 % 2008-12-01 4,000 $41,320 $-1,080 -2.54 % New Holding 4,000 100.00 % $-1,080
Vanguard Extended Market Index Fund (Vanguard Index Funds) Mid-Cap Core 4.27 % 2008-11-28 None - - - % Sold All -69,523 -100.00 % $18,771
Gabelli Healthcare Wellnessrx Trust Institution 7.45 % 2008-11-28 None - - - % Sold All -30,400 -100.00 % $8,208
Vanguard Total Stock Market Index Fund (Vanguard Index Funds) Multi-Cap Core 1.95 % 2008-11-28 None - - - % Sold All -44,826 -100.00 % $12,103
Pacific Select Fund (Pacific Select Fund) Pacific Region 8.52 % 2008-11-26 8,497 $87,774 $2,974 3.50 % New Holding 8,497 100.00 % $2,974
Biotechnology Fund (Rydex Variable Trust) Health/Biotech 9.59 % 2008-11-26 170 $1,756 $60 3.50 % No Compare - - % -
Dws Small Cap Index Vip (Dws Investments Vit Funds) Small-Cap Core 11.07 % 2008-11-26 5,800 $59,914 $2,030 3.50 % No Compare - - % -
Eqalliancebernstein Value Portfolio (Eq Advisors Trust) Multi-Cap Value 8.89 % 2008-11-26 244,000 $2,520,520 $85,400 3.50 % Added More 4,000 1.66 % $1,400
Eqbond Index Portfolio (Eq Advisors Trust) Specialty & Misc 10.79 % 2008-11-26 4,900 $50,617 $1,715 3.50 % No Change 0 0 % -
Bryton Growth Portfolio (Ohio National Fund Inc) Multi-Cap Growth 13.78 % 2008-11-25 53,000 $547,490 $18,550 3.50 % New Holding 53,000 100.00 % $18,550
Nicholas Ltd Edition Inc (Nicholas Ltd Edition Inc) Specialty & Misc 25.55 % 2008-11-21 105,000 $1,084,650 $135,450 14.26 % No Change 0 0 % -
Wellington Management Co Llp Institution 26.08 % 2008-11-21 1,680,789 $17,362,550 $2,168,218 14.26 % Sold Some -142,400 -7.81 % $-183,696
Goldman Sachs Group Inc Institution 7.67 % 2008-11-19 305,694 $3,157,819 $-113,107 -3.45 % Added More 112,687 58.38 % $-41,694
Us Bancorp De Institution 2.41 % 2008-11-17 1,215 $12,551 $-1,616 -11.40 % No Change 0 0 % -
Diamondback Capital Management Llc Institution 4.91 % 2008-11-17 128,382 $1,326,186 $-170,748 -11.40 % Sold Some -55,196 -30.06 % $73,411
Highbridge Capital Management Llc Institution 8.39 % 2008-11-14 None - - - % Sold All -23,161 -100.00 % $30,804
Commonwealth Of Pennsylvania Public School Empls Retrmt Sys Institution 5.76 % 2008-11-14 68,676 $709,423 $-91,339 -11.40 % No Compare - - % -
Geode Capital Management Llc Institution 4.26 % 2008-11-14 17,601 $181,818 $-23,409 -11.40 % Sold Some -152 -0.85 % $202
Dsc Advisors L P Institution 7.43 % 2008-11-14 204,600 $2,113,518 $-272,118 -11.40 % Added More 40,000 24.30 % $-53,200
Barclays Plc Institution 9.25 % 2008-11-14 5,772 $59,625 $-7,677 -11.40 % New Holding 5,772 100.00 % $-7,677
Fmr Corp Institution 6.72 % 2008-11-14 671,600 $6,937,628 $-893,228 -11.40 % New Holding 671,600 100.00 % $-893,228
Seligman J And W And Co Inc Institution 7.78 % 2008-11-14 43,000 $444,190 $-57,190 -11.40 % Sold Some -4,500 -9.47 % $5,985
Price T Rowe Associates Inc Institution 7.08 % 2008-11-14 834,500 $8,620,385 $-1,109,885 -11.40 % Sold Some -3,200 -0.38 % $4,256
Gamco Investors Inc Et Al Institution 8.31 % 2008-11-14 372,000 $3,842,760 $-494,760 -11.40 % Added More 26,600 7.70 % $-35,378
Tiaa Cref Investment Management Llc Institution 5.28 % 2008-11-14 94,716 $978,416 $-125,972 -11.40 % No Change 0 0 % -
Axa Institution 6.36 % 2008-11-14 457,300 $4,723,909 $-608,209 -11.40 % Added More 100,000 27.98 % $-133,000
Farallon Capital Management Llc Institution 4.01 % 2008-11-14 520,985 $5,381,775 $-692,910 -11.40 % Sold Some -109,115 -17.31 % $145,123
Teachers Advisors Inc Institution 5.65 % 2008-11-14 9,561 $98,765 $-12,716 -11.40 % Added More 540 5.98 % $-718
Blackthorn Investment Group Llc Institution 6.17 % 2008-11-14 None - - - % Sold All -64,927 -100.00 % $86,353
Black River Asset Management Llc Institution 7.69 % 2008-11-14 311,000 $3,212,630 $-413,630 -11.40 % Sold Some -57,460 -15.59 % $76,422
Srb Management L P Institution 4.29 % 2008-11-14 None - - - % Sold All -27,255 -100.00 % $36,249
Employees Retirement System Of Texas Institution 4.88 % 2008-11-14 64,300 $664,219 $-85,519 -11.40 % New Holding 64,300 100.00 % $-85,519
Visium Asset Management Llc Institution 9.14 % 2008-11-14 81,899 $846,017 $-108,926 -11.40 % Sold Some -18,838 -18.70 % $25,055
Next Century Growth Investors Llc Institution 4.88 % 2008-11-14 207,645 $2,144,973 $-276,168 -11.40 % New Holding 207,645 100.00 % $-276,168
Weiss Multi-Strategy Advisers Llc Institution 6.99 % 2008-11-14 None - - - % Sold All -10,000 -100.00 % $13,300
Catapult Capital Management Llc Institution 4.77 % 2008-11-14 78,000 $805,740 $-103,740 -11.40 % Added More 32,860 72.79 % $-43,704
Tryphon Capital Advisers Inc Institution 0.79 % 2008-11-14 None - - - % Sold All -7,747 -100.00 % $10,304
American International Group Inc Institution 5.08 % 2008-11-14 14,114 $145,798 $-18,772 -11.40 % Added More 27 0.19 % $-36
Northern Trust Corp Institution 7.22 % 2008-11-13 107,135 $1,106,705 $-160,703 -12.67 % Added More 15,359 16.73 % $-23,039
Wall Street Associates Institution 8.92 % 2008-11-13 223,700 $2,310,821 $-335,550 -12.67 % Added More 1,600 0.72 % $-2,400
Amvescap Plc Institution 7.62 % 2008-11-13 136 $1,405 $-204 -12.67 % No Change 0 0 % -
Nicholas Co Inc Institution 11.49 % 2008-11-13 109,130 $1,127,313 $-163,695 -12.67 % Added More 19,755 22.10 % $-29,633
Ig Investment Management Ltd Institution 1.15 % 2008-11-13 2,889 $29,843 $-4,334 -12.67 % Sold Some -1,000 -25.71 % $1,500
Merrill Lynch And Co Inc Institution 7.32 % 2008-11-13 None - - - % Sold All -17,680 -100.00 % $26,520
Td Asset Management Inc Institution 5.37 % 2008-11-13 24,200 $249,986 $-36,300 -12.67 % No Change 0 0 % -
Summit Investment Partners Inc Institution 8.07 % 2008-11-13 1,240 $12,809 $-1,860 -12.67 % Added More 255 25.88 % $-383
Suffolk Capital Management Llc Institution 9.28 % 2008-11-12 53,000 $547,490 $-79,500 -12.67 % No Change 0 0 % -
Primecap Management Co Institution 7.93 % 2008-11-12 678,100 $7,004,773 $-1,017,150 -12.67 % Added More 91,100 15.51 % $-136,650
Redmile Group Llc Institution 5.13 % 2008-11-12 54,500 $562,985 $-81,750 -12.67 % New Holding 54,500 100.00 % $-81,750
Wc Capital Management Llc Institution 7.77 % 2008-11-12 125,000 $1,291,250 $-187,500 -12.67 % No Change 0 0 % -
Oppenheimer And Co Inc Institution 8.45 % 2008-11-12 98,860 $1,021,224 $-148,290 -12.67 % New Holding 98,860 100.00 % $-148,290
Padco Advisors Inc Institution 9.15 % 2008-11-12 830 $8,574 $-1,245 -12.67 % New Holding 830 100.00 % $-1,245
Barclays Global Investors Uk Holdings Ltd Institution 7.75 % 2008-11-12 577,217 $5,962,652 $-865,826 -12.67 % Added More 139,791 31.95 % $-209,687
Thomson Horstmann And Bryant Inc Institution 10.10 % 2008-11-12 189,700 $1,959,601 $-284,550 -12.67 % Added More 90,400 91.03 % $-135,600
Insurance Co Of The West Institution 5.37 % 2008-11-12 None - - - % Sold All -22,300 -100.00 % $33,450
Padco Advisors Ii Inc Institution 8.31 % 2008-11-12 319 $3,295 $-479 -12.67 % Added More 249 355.71 % $-374
Rcm Capital Management Llc Institution -7.52 % 2008-11-12 None - - - % Sold All -19,250 -100.00 % $28,875
Proshare Advisors Llc Institution 5.03 % 2008-11-12 4,231 $43,706 $-6,347 -12.67 % New Holding 4,231 100.00 % $-6,347
Fny Managed Accounts Llc Institution 6.39 % 2008-11-12 None - - - % Sold All -16,400 -100.00 % $24,600
Manning And Napier Advisors Inc Institution 0.79 % 2008-11-10 392,697 $4,056,560 $-675,439 -14.27 % Sold Some -65,886 -14.36 % $113,324
William Harris Investors Inc Institution 2.37 % 2008-11-07 548,580 $5,666,831 $-1,020,359 -15.25 % No Change 0 0 % -
Vertical Group Lp Institution -18.18 % 2008-11-07 584,100 $6,033,753 $-1,086,426 -15.25 % Added More 169,500 40.88 % $-315,270
Vanguard Group Inc Institution 0.77 % 2008-11-06 131,410 $1,357,465 $-161,634 -10.64 % Added More 129,567 7030.22 % $-159,367
Metropolitan Life Insurance Co Institution 0.71 % 2008-11-06 12,976 $134,042 $-15,960 -10.64 % No Change 0 0 % -
Ing Investment Management Co Institution -3.82 % 2008-11-05 547,425 $5,654,900 $-897,777 -13.70 % Sold Some -183,875 -25.14 % $301,555
Shell Asset Management Co Institution -10.08 % 2008-11-04 None - - - % Sold All -100 -100.00 % $255
Russell Frank Co Institution -5.66 % 2008-11-03 33,195 $342,904 $-91,618 -21.08 % New Holding 33,195 100.00 % $-91,618
Bank Of New York Mellon Corp Institution -5.79 % 2008-10-31 50,928 $526,086 $-74,864 -12.45 % Added More 4,681 10.12 % $-6,881
Industrials Portfolio (Fidelity Select Portfolios) Specialty & Misc -0.15 % 2008-10-31 None - - - % Sold All -310,000 -100.00 % $455,700
Medical Equipment And Systems Portfolio (Fidelity Select Portfolios) Health/Biotech -11.96 % 2008-10-31 600,000 $6,198,000 $-882,000 -12.45 % No Compare - - % -
Blackrock Advisors Llc Institution -3.59 % 2008-10-30 None - - - % Sold All -41,400 -100.00 % $-23,184
International Core Equity Portfolio (Dfa Investment Dimensions Group Inc) International Small-M ... -3.48 % 2008-10-30 7,521 $77,692 $4,212 5.73 % Added More 7,221 2407.00 % $4,044
Small Cap Index Fund (Valic Co I) Small-Cap Core -3.31 % 2008-10-30 13,099 $135,313 $7,335 5.73 % Added More 1,080 8.98 % $605
State Board Of Administration Of Florida Retirement System Institution -4.18 % 2008-10-30 12,407 $128,164 $6,948 5.73 % Added More 900 7.82 % $504
Health Sciences Fund (Valic Co I) Health/Biotech 0.73 % 2008-10-30 18,200 $188,006 $10,192 5.73 % No Change 0 0 % -
Blackrock Investment Management Llc Institution -2.65 % 2008-10-30 20,697 $213,800 $11,590 5.73 % Sold Some -243,928 -92.17 % $-136,600
Dimensional Fund Advisors Inc Institution -4.19 % 2008-10-30 297,258 $3,070,675 $166,464 5.73 % Added More 46,922 18.74 % $26,276
Blackrock Group Ltd Institution 2.18 % 2008-10-30 None - - - % Sold All -6,600 -100.00 % $-3,696
Lee Munder Investments Ltd Institution -0.11 % 2008-10-29 192,080 $1,984,186 $34,574 1.77 % New Holding 192,080 100.00 % $34,574
Public Employees Retirement System Of Ohio Institution 8.03 % 2008-10-27 21,086 $217,818 $8,645 4.13 % No Change 0 0 % -
Emerald Advisers Inc Institution -2.04 % 2008-10-22 10,300 $106,399 $-8,961 -7.76 % Sold Some -418,895 -97.60 % $364,439
Emerald Mutual Fund Advisers Trust Institution -4.36 % 2008-10-22 None - - - % Sold All -173,159 -100.00 % $150,648
Alger Fred Management Inc Institution -7.30 % 2008-10-17 160,247 $1,655,352 $-232,358 -12.30 % Added More 29,440 22.50 % $-42,688
New England Asset Management Llc Institution % 2008-10-14 None - - - % Sold All -500 -100.00 %
Powershares Zacks Small Cap Portfolio (Powershares Exchange Traded Fund Trust) Small-Cap Core -25.46 % 2008-09-29 136 $1,405 $-464 -24.81 % No Compare - - % -
Global Small Cap Fund (Old Westbury Funds Inc) Global Small/Mid-Cap ... -27.03 % 2008-09-25 2,200 $22,726 $-7,458 -24.70 % No Compare - - % -
Rydex Inverse Russell 2000 Etf (Rydex Etf Trust) Specialty & Misc -31.11 % 2008-09-19 None - - - % Sold All -130 -100.00 % $467
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