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Back to 2005
Monthly Detail

June 2005

Monthly Return

+4.70%

Portfolio Value

$1.14M

Monthly Return

+4.70%

# Stocks

20

Holdings Shown

20

Portfolio Holdings

20 positions for the period 2005-05-31 to 2005-06-30.

SymbolStockNewBegin $End $DivGain %
AGAgco Corp$18.36$19.12$0.00+4.14%
ADMArcher Daniels$19.85$21.38$0.00+7.71%
ARMArvinmeritor$14.40$17.79$0.00+23.54%
TAt&T CorpNEW$18.79$19.04$0.00+1.33%
ANAutonation IncNEW$20.00$20.52$0.00+2.60%
AVTAvnetNEW$20.92$22.53$0.00+7.70%
CMSCms EnergyNEW$13.23$15.06$0.00+13.83%
CVGConvergys Corp$13.63$14.22$0.00+4.33%
DCNDana Corp$13.55$15.01$0.00+10.77%
DQEDuquesne Light$19.03$18.68$0.00-1.84%
ETE Trade Finl Cp$12.35$13.99$0.00+13.28%
FBNFurn Brand IntlNEW$20.11$21.61$0.00+7.46%
NYBNew York CmntyNEW$18.22$18.12$0.00-0.55%
PVNProvidian Finl$17.82$17.63$0.00-1.07%
RPMRpm Intl Inc$17.60$18.26$0.00+3.75%
TSGSabre Hldg CorpNEW$20.07$19.95$0.00-0.60%
SLESara LeeNEW$20.29$19.81$0.00-2.37%
UNMUnumprovident$18.36$18.32$0.00-0.22%
WORWorthington Ind$16.76$15.80$0.00-5.73%
XELXcel Energy Inc$18.43$19.52$0.00+5.91%

Disclaimer: Past performance does not guarantee future results. All investments involve risk including possible loss of principal. Holdings shown reflect actual portfolio positions for the indicated period.