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American Select Portfolio Inc (NYSE:SLA)

Page Created: 2009-01-07 05:45:00-08Last Activity: 2008-11-14Industry: Country: United States

American Select Portfolio Inc (NYSE:SLA)
Contact Information

800 Nicollet Mall, Minneapolis, Mn 55402,, United States
Phone: 612-303-4772, Fax: 612-303-4767, Website: http://www.firstamericanfunds.com

American Select Portfolio Inc (NYSE:SLA)
ISIN International Securities Identification Number

ISIN(s):

American Select Portfolio Inc (NYSE:SLA)
CUSIP Committee on Uniform Securities Identification Procedures

CUSIP(s): 029570108

American Select Portfolio Inc (NYSE:SLA)
Stock Symbols and Exchanges

Exchange Symbol Reuters Bloomberg Exchange Name MICR ACCR City Country Website
SLA SLA SLA:US New York Stock Exchange XNYS NYSE New York United States www.nyse.com

American Select Portfolio Inc (NYSE:SLA)
Rankings

 
Number of funds
Global RankCountry RankIndustry Rank
Owned:
17
53424139
Score:
0.64
1410--
Brand New:
7
38583095
Increased Existing:
3
4735--
No Change:
3
5278--
Reduced Existing:
2
5053--
Liquidated:
2
55804072
No Comparison Available:
0
---
Funds buying shares:
10
43433522
Buying %:
58.82 %
1533579
Funds not buying/selling shares:
3
---
Neutral %:
17.64 %
---
Funds selling shares:
4
55304226
Selling %:
23.52 %
84535240
   

American Select Portfolio Inc (NYSE:SLA)
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
Technical Financial Services Llc Institution 14.36 % 2008-11-14 None - - - % Sold All -27,574 -100.00 % $-28,125
Barclays Plc Institution 13.35 % 2008-11-14 1,404 $13,689 $1,432 11.68 % New Holding 1,404 100.00 % $1,432
Rbc Dain Rauscher Inc Institution 7.54 % 2008-11-14 3,621 $35,305 $3,693 11.68 % Sold Some -2,730 -42.98 % $-2,785
Pnc Financial Services Group Inc Institution 6.65 % 2008-11-14 31,600 $308,100 $32,232 11.68 % Added More 1,100 3.60 % $1,122
Wells Fargo And Co Institution 9.27 % 2008-11-14 72,028 $702,273 $73,469 11.68 % Sold Some -13,036 -15.32 % $-13,297
Renaissance Technologies Corp Institution 11.31 % 2008-11-14 344,300 $3,356,925 $351,186 11.68 % Added More 3,400 0.99 % $3,468
First National Trust Co Institution 4.49 % 2008-11-13 800 $7,800 $400 5.40 % No Change 0 0 % -
Merrill Lynch And Co Inc Institution 9.78 % 2008-11-13 6,744 $65,754 $3,372 5.40 % New Holding 6,744 100.00 % $3,372
Amvescap Plc Institution 10.87 % 2008-11-13 None - - - % Sold All -800 -100.00 % $-400
Yieldquest Advisors Llc Institution 17.81 % 2008-11-12 37,539 $366,005 $18,770 5.40 % New Holding 37,539 100.00 % $18,770
Ameriprise Financial Inc Institution 3.36 % 2008-11-10 10,100 $98,475 $3,131 3.28 % No Change 0 0 % -
Claymore Advisors Llc Institution -16.63 % 2008-11-10 37,773 $368,287 $11,710 3.28 % New Holding 37,773 100.00 % $11,710
Provise Management Group Llc Institution -0.43 % 2008-11-10 61,200 $596,700 $18,972 3.28 % New Holding 61,200 100.00 % $18,972
Davidson D A And Co Institution -1.20 % 2008-11-05 10,582 $103,175 $106 0.10 % Added More 60 0.57 % $1
Bank Of New York Mellon Corp Institution -3.04 % 2008-10-31 35,900 $350,025 $-1,077 -0.30 % No Change 0 0 % -
Aull Monroe Investment Management Corp Institution -1.46 % 2008-10-28 23,850 $232,538 $5,486 2.41 % New Holding 23,850 100.00 % $5,486
Sit Investment Associates Inc Institution -2.35 % 2008-10-21 3,432,840 $33,470,190 $171,642 0.51 % New Holding 3,432,840 100.00 % $171,642
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Listed 17 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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