MFFAIS - Mutual Fund Facts About Individual Stocks       

 

Click here for Free Industry Resources!

 
 
Home | About | News | Terms | Contact | Help | FAQ | Funds | Institutions | Stocks | Rankings
 0  1  2  3  4  5  6  7  8  9  A  B  C  D  E  F  G  H  I  J  K  L  M  N  O  P  Q  R  S  T  U  V  W  X  Y  Z

Tii Network Technologies Incdel (TIII)

 
Industry: Power Conv/Supply EquipCountry: United States
 
Number of funds
Global RankCountry RankIndustry Rank
Owned:
17
4910405515
Score:
-0.14
7414--
Brand New:
1
5263416918
Increased Existing:
3
4293--
No Change:
4
4113--
Reduced Existing:
5
3664--
Liquidated:
1
5116414717
No Comparison Available:
3
---
Funds buying shares:
4
4739401217
Buying %:
28.57 %
6999481726
Funds not buying/selling shares:
4
---
Neutral %:
28.57 %
---
Funds selling shares:
6
4193371915
Selling %:
42.85 %
319520786
   

Tii Network Technologies Incdel (TIII) 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
Al Frank Asset Management Inc Institution -1.88 % 2008-08-07 756,262 $907,514 $22,688 2.56 % Sold Some -13,735 -1.78 % $-412
Bank Of New York Mellon Corp Institution -3.86 % 2008-08-14 16,450 $19,740 $165 0.84 % No Change 16,450 0 % -
Barclays Global Investors Uk Holdings Ltd Institution -0.63 % 2008-07-25 471,524 % Added More 1,264 0.26 %
Bear Stearns And Co Inc Institution -9.57 % 2008-05-15 4,600 $5,520 $-3,220 -36.84 % Added More 200 4.54 % $-140
Bridgeway Capital Management Inc Institution -6.53 % 2008-08-14 59,599 $71,519 $596 0.84 % Sold Some -84,101 -58.52 % $-841
California Public Employees Retirement System Institution -0.43 % 2008-08-04 119,700 $143,640 $-7,182 -4.76 % New Holding 119,700 100.00 % $-7,182
Dimensional Fund Advisors Inc Institution -0.16 % 2008-08-01 359,160 $430,992 $-35,916 -7.69 % Sold Some -1,800 -0.49 % $180
International Value Series (Dfa Investment Trust Co) Multi-Cap Value -0.42 % 2008-08-08 96,200 $115,440 $2,886 2.56 % No Compare - - % -
Jdn Capital Management Lp Institution -5.24 % 2008-08-11 15,000 $18,000 $-450 -2.43 % No Change 15,000 0 % -
Northern Trust Corp Institution -3.47 % 2008-08-13 13,016 $15,619 $-260 -1.63 % No Change 13,016 0 % -
Perritt Capital Management Inc Institution 3.74 % 2008-07-14 304,990 $365,988 $-57,948 -13.66 % No Change 304,990 0 % -
Platinum Management (Ny) Llc Institution -4.70 % 2008-08-14 None - - - % Sold All -14,505 -100.00 % $-145
Renaissance Technologies Corp Institution -4.13 % 2008-08-14 243,300 $291,960 $2,433 0.84 % Added More 14,100 6.15 % $141
Ubs Ag Institution -4.94 % 2008-08-11 677 $812 $-20 -2.43 % Sold Some -797 -54.07 % $24
Va Small Value Portfolio (Dfa Investment Dimensions Group Inc) Small-Cap Value -0.42 % 2008-08-08 1,200 $1,440 $36 2.56 % No Compare - - % -
Vanguard Extended Market Index Fund (Vanguard Index Funds) Mid-Cap Core -4.35 % 2008-08-29 107,178 $128,614 $-5,359 -4.00 % No Compare - - % -
Vanguard Group Inc Institution -0.63 % 2008-08-06 342 $410 $7 1.69 % Sold Some -106,836 -99.68 % $-2,137
 0  1  2  3  4  5  6  7  8  9  A  B  C  D  E  F  G  H  I  J  K  L  M  N  O  P  Q  R  S  T  U  V  W  X  Y  Z
Listed 17 holdings.
   

Tii Network Technologies Incdel on Google Tii Network Technologies Incdel on Yahoo Tii Network Technologies Incdel on CNN Money Tii Network Technologies Incdel on MSN Tii Network Technologies Incdel on Reuters Tii Network Technologies Incdel on Market Watch Tii Network Technologies Incdel on Forbes
 
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
Information is provided 'as is' and solely for informational purposes, not for trading purposes or advice, and may be inaccurate!
Note: For security reasons, only (A-Z,a-z,0-9,space,period,colon,comma,forward slash,at) can be inputed - all others are stripped automatically!
Copyright © 2007 All rights reserved. Please see our Terms of Use.