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  Name: WYPER PARTNERS LLC
  City: NEW YORK
  State: NY
  Zip: 10022
   
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Portfolio Summary View Filing
  Filing Report Date : 2010-03-31
  Total Value : $170,241,000
  Total Value Change : $-149,349,000
  Securities Held Change : 15
   
All Securities Held : 72
  New Positions : 45
  Closed Positions : 32
  Increased Positions : 6
  Unchanged Positions : 0
  Decreased Positions : 20

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Holdings Found : 42     View All Holdings Currently Viewing:  New Positions     Page 1 of 1
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Ticker Company Name Position
Rank
New/Closed
Postion
Last
Close
    Value Shares Held
% of
Portfolio
Value
Change
Change In
Shares Held
   % of Company    Industry
   (CIT)1 Year Chart         CIT CIT Group Inc 1 New $53.50 $9,605,000 246,535 5.64% 9,605,000 246,535 0.123    Credit Services
   (LVS)1 Year Chart         LVS Las Vegas Sands Corp 3 New $44.12 $4,869,000 230,249 2.86% 4,869,000 230,249 0.032    Gambling/Resorts
   (LEN)1 Year Chart         LEN Lennar Corp 4 New $152.23 $4,626,000 268,825 2.72% 4,626,000 268,825 0.168    Residential Construct...
   (YUM)1 Year Chart         YUM YUM! Brands Inc 5 New $134.34 $4,508,000 117,604 2.65% 4,508,000 117,604 0.039    Restaurants
   (BRK.B)1 Year Chart         BRK.B Berkshire Hathaway B 6 New $408.50 $4,499,000 55,368 2.64% 4,499,000 55,368 0.004    Property & Casualty I...
   (ADI)1 Year Chart         ADI Analog Devices Inc 7 New $236.30 $4,340,000 150,594 2.55% 4,340,000 150,594 0.052    Semiconductor- Broad...
   (LYV)1 Year Chart         LYV Live Nation Inc 9 New $89.78 $3,997,000 275,684 2.35% 3,997,000 275,684 0.164    Business Services
   (CP)1 Year Chart         CP Canadian Pacific Railway Li... 10 New $76.66 $3,955,000 70,311 2.32% 3,955,000 70,311 0.044    Railroads
   (ADSK)1 Year Chart         ADSK Autodesk Inc 13 New $211.50 $3,759,000 127,956 2.21% 3,759,000 127,956 0.056    Technical & System So...
   (BEAV)1 Year Chart         BEAV BE Aerospace Inc 19 New $0.00 $3,107,000 102,346 1.83% 3,107,000 102,346 0.101    Aerospace/Defense Pro...
   (CTXS)1 Year Chart         CTXS Citrix Systems Inc 21 New $103.90 $2,800,000 58,997 1.64% 2,800,000 58,997 0    Internet Software & S...
   (FITB)1 Year Chart         FITB Fifth Third Bancorp 23 New $35.28 $2,716,000 200,276 1.6% 2,716,000 200,276 0.025    Domestic Regional Banks
   (COL)1 Year Chart         COL Rockwell Collins Inc 25 New $0.00 $2,677,000 42,769 1.57% 2,677,000 42,769 0.027    Aerospace/Defense Pro...
   (DVA)1 Year Chart         DVA Davita Healthcare Partners 26 New $139.86 $2,670,000 42,109 1.57% 2,670,000 42,109 0.044    Specialized Health Se...
   (AMP)1 Year Chart         AMP Ameriprise Financial Inc 27 New $422.02 $2,657,000 58,577 1.56% 2,657,000 58,577 0.023    Asset Management
   (WBS)1 Year Chart         WBS Webster Financial Corp 28 New $40.29 $2,581,000 147,554 1.52% 2,581,000 147,554 0.189    Savings & Loans
   (VAL)1 Year Chart         VAL Valaris plc 31 New $75.90 $2,480,000 55,390 1.46% 2,480,000 55,390 0.018    Oil & Gas Drilling & ...
   (CLF)1 Year Chart         CLF Cleveland-Cliffs Inc 33 New $15.13 $2,319,000 32,688 1.36% 2,319,000 32,688 0.018    Steel & Iron
   (EBAY)1 Year Chart         EBAY eBay Inc 34 New $53.00 $2,228,000 82,584 1.31% 2,228,000 82,584 0.006    Internet Software & S...
   (CME)1 Year Chart         CME CME Group Inc 38 New $198.70 $10,525,000 33,305 1.24% 2,105,000 33,305 0.01    Business Services
   (FRPH)1 Year Chart         FRPH Patriot Transportation Hold... 39 New $29.81 $6,300,630 74,593 1.23% 2,100,000 74,593 0.817    Trucking
   (RF)1 Year Chart         RF Regions Financial Corp 41 New $18.19 $1,956,000 249,222 1.15% 1,956,000 249,222 0.018    Domestic Regional Banks
   (TXT)1 Year Chart         TXT Textron Inc 42 New $85.45 $1,909,000 89,931 1.12% 1,909,000 89,931 0.033    Conglomerates
   (MTG)1 Year Chart         MTG MGIC Investment Corp 43 New $20.47 $1,906,000 173,782 1.12% 1,906,000 173,782 0.087    Surety & Title Insurance
   (MEE)1 Year Chart         MEE Massey Energy Co 44 New $0.00 $1,888,000 36,105 1.11% 1,888,000 36,105 0.035    Industrial Metals & M...
   (MED)1 Year Chart         MED Medifast Inc 45 New $21.48 $1,862,000 74,086 1.09% 1,862,000 74,086 0.504    Specialty Retail, Other
   (TCK)1 Year Chart         TCK Teck Resources Ltd 46 New $48.22 $1,787,000 41,011 1.05% 1,787,000 41,011 0.008    Industrial Metals & M...
   (ARCB)1 Year Chart         ARCB ArcBest Corporation 48 New $109.01 $1,617,000 54,119 0.95% 1,617,000 54,119 0.203    Trucking
   (SFD)1 Year Chart         SFD Smithfield Foods Inc 50 New $0.00 $1,421,000 68,520 0.83% 1,421,000 68,520 0.048    Meat Products
   (KDP)1 Year Chart         KDP Keurig Dr Pepper Inc 52 New $33.83 $1,382,000 39,282 0.81% 1,382,000 39,282 0.022    Beverage Soft Drinks...
   (DENN)1 Year Chart         DENN Dennys Corp 53 New $6.60 $1,307,000 339,343 0.77% 1,307,000 339,343 0.353    Restaurants
   (PM)1 Year Chart         PM Philip Morris International... 55 New $103.82 $1,277,000 24,490 0.75% 1,277,000 24,490 0.001    Cigarettes & Other To...
   (VWTR)1 Year Chart         VWTR Vidler Water Resources Inc 58 New $15.75 $1,194,000 32,088 0.7% 1,194,000 32,088 0.142    Property & Casualty I...
   (TKR)1 Year Chart         TKR Timken Co 59 New $82.90 $1,116,000 37,175 0.66% 1,116,000 37,175 0.038    Machine Tools & Acces...
   (SAPE)1 Year Chart         SAPE Sapient Corp 61 New $0.00 $905,000 99,031 0.53% 905,000 99,031 0.075    Business Software & S...
   (H)1 Year Chart         H Hyatt Hotels Corp 64 New $145.88 $739,000 18,976 0.43% 739,000 18,976 0.012    Lodging
   (NZ)1 Year Chart         NZ Netezza Corp 66 New $0.00 $699,000 54,630 0.41% 699,000 54,630 0.091    Diversified Computer ...
   (CKEC)1 Year Chart         CKEC Carmike Cinemas Inc 67 New $0.00 $646,000 46,517 0.38% 646,000 46,517 0.202    Movie Production & Di...
   (PVTB)1 Year Chart         PVTB Privatebancorp Inc 68 New $0.00 $644,000 46,994 0.38% 644,000 46,994 0.066    Domestic Regional Banks
   (KIDB)1 Year Chart         KIDB Kid Brands Inc 69 New $0.00 $546,000 63,130 0.32% 546,000 63,130 0.294    Toys & Games
   (MNRO)1 Year Chart         MNRO Monro Muffler Brake Inc 70 New $24.86 $796,580 22,268 0.31% 531,000 22,268 0.045    Consumer Services
   (EF)1 Year Chart         EF Edelman Financial Group Inc 71 New $0.00 $326,000 52,541 0.19% 326,000 52,541 0.187    Diversified Investments

      42 Records Found
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