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Netezza Corp (NZ)

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Industry: Computers-Memory DevicesCountry: United States
 
Number of funds
Global RankCountry RankIndustry Rank
Owned:
115
2365213910
Score:
0.60
1830--
Brand New:
31
132012246
Increased Existing:
36
2054--
No Change:
8
3290--
Reduced Existing:
10
3222--
Liquidated:
14
2566230912
No Comparison Available:
16
---
Funds buying shares:
67
178416537
Buying %:
67.67 %
13025145
Funds not buying/selling shares:
8
---
Neutral %:
8.08 %
---
Funds selling shares:
24
3012270813
Selling %:
24.24 %
8184514627
   

Netezza Corp (NZ) 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
American International Group Inc Institution -1.27 % 2008-08-14 35,722 $463,672 $-36,436 -7.28 % Added More 27,060 312.39 % $-27,601
Artis Capital Management Llc Institution 0.23 % 2008-08-14 108,800 $1,412,224 $-110,976 -7.28 % Added More 58,361 115.70 % $-59,528
Ascend Paragon Capital Llc Institution -1.85 % 2008-08-13 121,431 $1,576,174 $-112,931 -6.68 % New Holding 121,431 100.00 % $-112,931
Axa Institution -1.64 % 2008-08-14 27,850 $361,493 $-28,407 -7.28 % New Holding 27,850 100.00 % $-28,407
Balanced Fund (American Performance Funds) Flexible Portfolio -0.38 % 2008-07-30 820 $10,644 $607 6.04 % No Compare - - % -
Balyasny Asset Management Llc Institution -0.76 % 2008-08-14 525,954 $6,826,883 $-536,473 -7.28 % No Compare - - % -
Bank Of New York Mellon Corp Institution -1.17 % 2008-08-14 109,983 $1,427,579 $-112,183 -7.28 % Added More 73,346 200.19 % $-74,813
Barclays Global Investors Uk Holdings Ltd Institution 0.98 % 2008-07-25 961,067 % Added More 813,692 552.12 %
Bear Stearns And Co Inc Institution -7.54 % 2008-05-15 12 $156 $24 18.21 % No Change 12 0 % -
Black River Asset Management Llc Institution % 2008-08-15 6,400 % New Holding 6,400 100.00 %
Blackrock Investment Management Llc Institution 2.08 % 2008-08-04 53,393 $693,041 $56,063 8.80 % Added More 39,493 284.12 % $41,468
Bnp Paribas Arbitrage Sa Institution -0.64 % 2008-08-13 18,148 $235,561 $-16,878 -6.68 % New Holding 18,148 100.00 % $-16,878
Bp Plc Institution -1.34 % 2008-08-12 None - - - % Sold All -100,087 -100.00 % $77,067
Cadian Capital Management Llc Institution -2.70 % 2008-08-14 None - - - % Sold All -192,650 -100.00 % $196,503
Caisse De Depot Et Placement Du Quebec Institution -0.29 % 2008-08-14 273,209 $3,546,253 $-278,673 -7.28 % Sold Some -698,191 -71.87 % $712,155
Capital Guardian Trust Co Institution -1.79 % 2008-08-14 238,318 $3,093,368 $-243,084 -7.28 % Sold Some -385 -0.16 % $393
Cavalry Asset Management Lp Institution -0.90 % 2008-08-14 None - - - % Sold All -60,820 -100.00 % $62,036
Citigroup Inc Institution -1.86 % 2008-08-14 12,442 $161,497 $-12,691 -7.28 % New Holding 12,442 100.00 % $-12,691
Core Fund (Lincoln Variable Insurance Products Trust) Multi-Cap Core -9.85 % 2008-05-30 None - - - % Sold All -1,658 -100.00 % $597
Credit Suisse/ Institution -1.18 % 2008-08-14 41,659 $540,734 $-42,492 -7.28 % Added More 12,756 44.13 % $-13,011
Davidson Kempner Capital Management Llc Institution -0.26 % 2008-08-12 10,000 $129,800 $-7,700 -5.60 % New Holding 10,000 100.00 % $-7,700
Deere And Co Institution -1.18 % 2008-08-08 43,601 $565,941 $-32,265 -5.39 % New Holding 43,601 100.00 % $-32,265
Discovery Fund (Wells Fargo Funds Trust) Specialty & Misc -1.95 % 2008-08-07 279,000 $3,621,420 $-89,280 -2.40 % No Compare - - % -
Dupont Capital Management Institution 0.94 % 2008-07-31 331,695 $4,305,401 $33,170 0.77 % New Holding 331,695 100.00 % $33,170
Dws Small Cap Index Vip (Dws Investments Vit Funds) Small-Cap Core -3.61 % 2008-05-29 2,000 $25,960 $-680 -2.55 % No Compare - - % -
Eagle Asset Management Inc Institution % 2008-07-17 2,150,309 % New Holding 2,150,309 100.00 %
Empire Capital Management L L C Institution -0.07 % 2008-08-14 None - - - % Sold All -1,711,588 -100.00 % $1,745,820
Ensemble Capital Management Llc Institution -2.82 % 2008-08-11 129,518 $1,681,144 $-106,205 -5.94 % Added More 82,418 174.98 % $-67,583
Equity Index Fund (Tiaa Cref Institutional Mutual Funds) Specialty & Misc -10.44 % 2008-06-05 22,350 $290,103 $3,800 1.32 % New Holding 22,350 100.00 % $3,800
Federated Investors Inc Institution -1.31 % 2008-08-14 182,100 $2,363,658 $-185,742 -7.28 % Sold Some -800 -0.43 % $816
Fidelity Advisor Technology Fund (Fidelity Advisor Series Vii) Science & Tech 0.39 % 2008-06-30 415,400 $5,391,892 $594,022 12.38 % No Compare - - % -
Fidelity International Ltd Institution -0.67 % 2008-08-14 8,600 $111,628 $-8,772 -7.28 % New Holding 8,600 100.00 % $-8,772
Fidelity Utilities (Fidelity Central Investment Portfolios Llc) Utility -2.39 % 2008-07-30 291,100 $3,778,478 $215,414 6.04 % No Compare - - % -
First New York Securities Llc Institution -0.08 % 2008-08-13 None - - - % Sold All -55,200 -100.00 % $51,336
Fmr Corp Institution -1.03 % 2008-08-14 1,739,900 $22,583,902 $-1,774,698 -7.28 % Added More 460,300 35.97 % $-469,506
Fny Managed Accounts Llc Institution 0.43 % 2008-08-05 45,600 $591,888 $4,104 0.69 % New Holding 45,600 100.00 % $4,104
Fortis Investments Management Usa Inc. Institution -0.36 % 2008-08-13 2,646 $34,345 $-2,461 -6.68 % Added More 654 32.83 % $-608
Glg Partners Inc Institution -0.76 % 2008-08-14 None - - - % Sold All -50,000 -100.00 % $51,000
Glynn Capital Management Llc Institution 2.44 % 2008-08-06 None - - - % Sold All -27,932 -100.00 % $12,849
Goldman Sachs Group Inc Institution -1.19 % 2008-08-14 196,674 $2,552,829 $-200,607 -7.28 % Added More 144,684 278.29 % $-147,578
Growth Equity Fund (Tiaa Cref Institutional Mutual Funds) Multi-Cap Growth -10.02 % 2008-06-05 2,479,700 $32,186,506 $421,549 1.32 % New Holding 2,479,700 100.00 % $421,549
Hershey Trust Co Institution 6.70 % 2008-07-03 None - - - % Sold All -14,298 -100.00 % $-27,738
Ing Investment Management Co Institution -1.02 % 2008-08-14 6,400 $83,072 $-6,528 -7.28 % New Holding 6,400 100.00 % $-6,528
Ivy Science And Technology Fund (Ivy Funds Inc) Science & Tech -10.92 % 2008-06-06 228,400 $2,964,632 $-2,284 -0.07 % No Change 228,400 0 % -
Ixis Asset Management Advisors L P Institution -1.29 % 2008-08-12 161,717 $2,099,087 $-124,522 -5.60 % Sold Some -13,518 -7.71 % $10,409
J P Morgan Chase And Co Institution -1.04 % 2008-08-12 104,569 $1,357,306 $-80,518 -5.60 % Added More 88,407 547.00 % $-68,073
Johnson Robert Wood Foundation Institution -0.81 % 2008-08-11 4,250 $55,165 $-3,485 -5.94 % New Holding 4,250 100.00 % $-3,485
Lazard Asset Management Llc Institution 1.76 % 2008-08-04 18,750 $243,375 $19,688 8.80 % New Holding 18,750 100.00 % $19,688
Lehman Brothers Holdings Inc Institution -0.64 % 2008-08-13 28,065 $364,284 $-26,100 -6.68 % New Holding 28,065 100.00 % $-26,100
Lord Abbett And Co Llc Institution -1.74 % 2008-08-14 204,700 $2,657,006 $-208,794 -7.28 % Added More 55,700 37.38 % $-56,814
Managed Account Advisors Llc Institution 0.85 % 2008-08-07 12,112 $157,214 $-3,876 -2.40 % Added More 5,234 76.09 % $-1,675
Managers Fremont Global Fund (Managers Trust I) Global Flex Port 4.44 % 2008-06-30 50,849 $660,020 $72,714 12.38 % No Compare - - % -
Managers Small Cap Fund (Managers Trust I) Small-Cap Core 3.45 % 2008-06-30 11,800 $153,164 $16,874 12.38 % No Compare - - % -
Menta Capital Llc Institution -1.63 % 2008-08-11 23,900 $310,222 $-19,598 -5.94 % New Holding 23,900 100.00 % $-19,598
Merrill Lynch And Co Inc Institution -0.62 % 2008-08-07 37,727 $489,696 $-12,073 -2.40 % Added More 34,692 1143.06 % $-11,101
Metropolitan Life Insurance Co Institution -1.98 % 2008-08-11 43,139 $559,944 $-35,374 -5.94 % New Holding 43,139 100.00 % $-35,374
Mfc Global Investment Management Usa Ltd Institution -0.24 % 2008-07-30 16,961 $220,154 $12,551 6.04 % Added More 12,865 314.08 % $9,520
Morgan Stanley Institution % 2008-08-15 252,610 % Added More 214,671 565.83 %
Multimanager Small Cap Growth Portfolio (Axa Premier Vip Trust) Small-Cap Growth -16.26 % 2008-05-29 None - - - % Sold All -38,095 -100.00 % $12,952
Needham Investment Management Llc Institution -1.13 % 2008-08-18 271,100 $3,518,878 $-146,394 -3.99 % No Change 271,100 0 % -
Needham Small Cap Growth Fund (Needham Funds Inc) Small-Cap Growth -3.30 % 2008-05-30 10,000 $129,800 $-3,600 -2.69 % Added More 6,100 156.41 % $-2,196
New M&I Corp Institution -1.39 % 2008-08-08 277,453 $3,601,340 $-205,315 -5.39 % New Holding 277,453 100.00 % $-205,315
New York State Common Retirement Fund Institution % 2008-08-15 None - - - % Sold All -14,156 -100.00 %
Next Century Growth Investors Llc Institution -3.85 % 2008-08-14 917,044 $11,903,231 $-935,385 -7.28 % Added More 175,645 23.69 % $-179,158
Northern Trust Co Of Connecticut Institution -1.26 % 2008-08-12 5,300 $68,794 $-4,081 -5.60 % New Holding 5,300 100.00 % $-4,081
Northern Trust Corp Institution -0.92 % 2008-08-13 86,296 $1,120,122 $-80,255 -6.68 % Added More 28,675 49.76 % $-26,668
Northwestern Investment Management Co Llc Institution -3.18 % 2008-08-14 12,351 $160,316 $-12,598 -7.28 % No Change 12,351 0 % -
Numeric Investors Llc Institution -0.97 % 2008-08-13 13,130 $170,427 $-12,211 -6.68 % Sold Some -109,800 -89.31 % $102,114
Oppenheimer Funds Inc Institution -0.42 % 2008-08-18 211,035 $2,739,234 $-113,959 -3.99 % New Holding 211,035 100.00 % $-113,959
Padco Advisors Ii Inc Institution -1.27 % 2008-08-14 170 $2,207 $-173 -7.28 % Added More 151 794.73 % $-154
Price T Rowe Associates Inc Institution -1.72 % 2008-08-14 1,597,238 $20,732,149 $-1,629,183 -7.28 % Added More 330,828 26.12 % $-337,445
Prudential Financial Inc Institution -1.25 % 2008-08-08 17,200 $223,256 $-12,728 -5.39 % Added More 4,300 33.33 % $-3,182
Public Employees Retirement System Of Ohio Institution -0.44 % 2008-07-30 53,472 $694,067 $39,569 6.04 % New Holding 53,472 100.00 % $39,569
Putnam Small Cap Growth Fund (Putnam Funds Trust) Small-Cap Growth 3.54 % 2008-07-29 253,600 $3,291,728 $273,888 9.07 % No Compare - - % -
Rbc Dain Rauscher Inc Institution -0.51 % 2008-08-14 100 $1,298 $-102 -7.28 % New Holding 100 100.00 % $-102
Regents Of The University Of California Institution 4.46 % 2008-07-28 None - - - % Sold All -231,904 -100.00 % $-320,028
Research Affiliates Llc Institution -3.18 % 2008-08-11 312,751 $4,059,508 $-256,456 -5.94 % New Holding 312,751 100.00 % $-256,456
Rs Investment Management Co Llc Institution -0.01 % 2008-08-12 588,570 $7,639,639 $-453,199 -5.60 % Added More 161,210 37.72 % $-124,132
Russell Frank Co Institution -0.91 % 2008-08-13 575,695 $7,472,521 $-535,396 -6.68 % Added More 34,965 6.46 % $-32,517
Rydex Inverse Russell 2000 Etf (Rydex Etf Trust) Specialty & Misc 6.39 % 2008-07-07 90 $1,168 $213 22.33 % Added More 50 125.00 % $119
S Squared Technology Llc Institution -2.19 % 2008-08-13 321,300 $4,170,474 $-298,809 -6.68 % New Holding 321,300 100.00 % $-298,809
Sarofim Fayez Institution -0.74 % 2008-08-14 37,532 $487,165 $-38,283 -7.28 % Added More 3,574 10.52 % $-3,645
Shott Capital Management Llc Institution -1.55 % 2008-07-01 24,264 $314,947 $36,639 13.16 % Sold Some -201,550 -89.25 % $-304,341
Small Cap Index Fund (Valic Co I) Small-Cap Core 0.01 % 2008-08-08 8,110 $105,268 $-6,001 -5.39 % Sold Some -503 -5.84 % $372
Small Cap Index Trust (John Hancock Trust) Small-Cap Core -5.21 % 2008-05-30 3,621 $47,001 $-1,304 -2.69 % New Holding 3,621 100.00 % $-1,304
Small Cap Portfolio (Seasons Series Trust) Small-Cap Core -3.61 % 2008-06-06 552 $7,165 $-6 -0.07 % No Change 552 0 % -
Straus Capital Management Llc Institution -0.75 % 2008-08-14 None - - - % Sold All -12,000 -100.00 % $12,240
Strs Ohio Institution 1.66 % 2008-07-24 75,400 $978,692 $113,100 13.06 % No Change 75,400 0 % -
Summit Investment Partners Inc Institution -1.60 % 2008-08-14 679 $8,813 $-693 -7.28 % No Change 679 0 % -
Symmetry Peak Management Llc Institution -3.74 % 2008-08-14 152,061 $1,973,752 $-155,102 -7.28 % Sold Some -96,236 -38.75 % $98,161
Teachers Advisors Inc Institution -1.52 % 2008-08-14 328,511 $4,264,073 $-335,081 -7.28 % Added More 64,303 24.33 % $-65,589
Technical Financial Services Llc Institution -2.52 % 2008-08-13 42,989 $557,997 $-39,980 -6.68 % New Holding 42,989 100.00 % $-39,980
Technology Portfolio (Fidelity Select Portfolios) Science & Tech 1.91 % 2008-07-30 619,500 $8,041,110 $458,430 6.04 % No Compare - - % -
Technology Portfolio (Variable Insurance Products Fund Iv) Science & Tech -9.35 % 2008-05-30 25,900 $336,182 $-9,324 -2.69 % No Compare - - % -
Tiaa Cref Investment Management Llc Institution -1.25 % 2008-08-14 258,835 $3,359,678 $-264,012 -7.28 % Added More 244,235 1672.84 % $-249,120
Timessquare Capital Management Llc Institution 0.37 % 2008-08-06 2,089,800 $27,125,604 $-961,308 -3.42 % Sold Some -99,600 -4.54 % $45,816
Timessquare Small Cap Growth Fund (Managers Amg Funds) Small-Cap Growth 1.79 % 2008-08-05 424,100 $5,504,818 $38,169 0.69 % No Compare - - % -
Tradeworx Inc. Institution % 2008-07-16 24,138 % Added More 2,946 13.90 %
Travelers Companies Inc. Institution -0.12 % 2008-08-14 None - - - % Sold All -9,084 -100.00 % $9,266
Ubs Ag Institution -1.53 % 2008-08-11 28,578 $370,942 $-23,434 -5.94 % Added More 975 3.53 % $-800
Ubs Oconnor Llc Institution -0.69 % 2008-08-13 17,308 $224,658 $-16,096 -6.68 % New Holding 17,308 100.00 % $-16,096
Ultra Russell2000 Growth Proshares (Proshares Trust) Multi-Cap Growth -0.29 % 2008-08-08 82 $1,064 $-61 -5.39 % No Compare - - % -
Ultra Russell2000 Value Proshares (Proshares Trust) Multi-Cap Value 0.32 % 2008-08-08 47 $610 $-35 -5.39 % No Compare - - % -
Us Bancorp De Institution -1.17 % 2008-08-14 3,248 $42,159 $-3,313 -7.28 % Added More 2,694 486.28 % $-2,748
Van Wagoner Emerging Growth Fund (Van Wagoner Funds Inc) Small-Cap Growth -19.26 % 2008-05-15 87,250 $1,132,505 $174,500 18.21 % Added More 32,250 58.63 % $64,500
Van Wagoner Growth Opportunities Fund (Van Wagoner Funds Inc) Multi-Cap Growth -19.37 % 2008-05-15 20,000 $259,600 $40,000 18.21 % Added More 7,500 60.00 % $15,000
Vanguard Extended Market Index Fund (Vanguard Index Funds) Mid-Cap Core -7.39 % 2008-05-30 16,381 $212,625 $-5,897 -2.69 % Added More 2,100 14.70 % $-756
Vanguard Group Inc Institution 0.62 % 2008-08-06 17,276 $224,242 $-7,947 -3.42 % Sold Some -7,484 -30.22 % $3,443
Vinik Asset Management L P Institution -0.79 % 2008-08-14 1,613,730 $20,946,215 $-1,646,005 -7.28 % Added More 1,322,300 453.72 % $-1,348,746
Vt Discovery Fund (Wells Fargo Variable Trust) Specialty & Misc -11.03 % 2008-05-28 156,400 $2,030,072 $192,372 10.46 % New Holding 156,400 100.00 % $192,372
W And R Target Science And Technology Portfolio (W And R Target Funds Inc) Science & Tech -12.84 % 2008-05-30 161,700 $2,098,866 $-58,212 -2.69 % No Compare - - % -
Waddell And Reed Advisors Science And Technology Fund (Waddell And Reed Advisors Funds Incmd) Science & Tech -10.80 % 2008-06-06 1,168,000 $15,160,640 $-11,680 -0.07 % No Compare - - % -
Waddell And Reed Financial Inc Institution -0.55 % 2008-08-13 1,563,050 $20,288,389 $-1,453,637 -6.68 % No Change 1,563,050 0 % -
Wall Street Associates Institution -1.69 % 2008-08-14 119,500 $1,551,110 $-121,890 -7.28 % New Holding 119,500 100.00 % $-121,890
Wells Fargo And Co Institution -1.05 % 2008-08-13 1,201,154 $15,590,979 $-1,117,073 -6.68 % Added More 510,208 73.84 % $-474,493
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Listed 115 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!
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