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t o p r a n k i n g s :: d e t a i l s |
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Top Funds for for 30 Days
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December 31, 2011
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Top Funds for for 30 Days
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| 1 |
Manager
Name |
Fund
Symbol |
Fund
Name |
NAV |
Return |
| rosexu |
MICRO |
Rose Xu's MicroCap Fund |
12.48 |
14.52% |
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Fund
Description |
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Micro Cap Fund |
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| 2 |
Manager
Name |
Fund
Symbol |
Fund
Name |
NAV |
Return |
| rowenstorms |
SF |
The Safe Fund |
12.68 |
10.38% |
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Fund
Description |
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Funds for those who want to be safe. |
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| 3 |
Manager
Name |
Fund
Symbol |
Fund
Name |
NAV |
Return |
| cbman000 |
MDS |
Medusa |
9.26 |
10.23% |
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Fund
Description |
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Value and growth-based investing through innovative research. |
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| 4 |
Manager
Name |
Fund
Symbol |
Fund
Name |
NAV |
Return |
| codytafel |
TF |
Trading Fund |
16.66 |
9.95% |
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Fund
Description |
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momentum driven, tight stop loss |
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| 5 |
Manager
Name |
Fund
Symbol |
Fund
Name |
NAV |
Return |
| tbadley |
TBSVF |
Tim Badley's Small Cap Value Fund |
17.39 |
9.93% |
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Fund
Description |
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The fund selects small cap stocks of any industry that are
out of favour and through their current P/E and P/B ratios,
as well as their potential earnings growth, represent
current value. |
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| 6 |
Manager
Name |
Fund
Symbol |
Fund
Name |
NAV |
Return |
| crossy |
CLVF |
Crossy's Lifesciences Value Fund |
31.49 |
9.55% |
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Fund
Description |
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The fund tries to maintain a broad but yet balanced participation in lifescience related markets and segments: Big Pharma, Specialty Pharma, Generics, Contract Manufacturers, Medical Device Makers, Medical Supplies, Biotechs
Each segment is evaluated on criteriae fund management deems appropriate : for example for Biotechs, primarily pipeline analysis in conjunction with financial health (curRatio, QuickRatio) and valuation criteriae (target market potential, Price/Book, pipeline stage... [ more ] |
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| 7 |
Manager
Name |
Fund
Symbol |
Fund
Name |
NAV |
Return |
| dknepp1 |
ESF |
Eureka Select |
12.23 |
8.81% |
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Fund
Description |
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This fund is the oldest and most conservative fund of our family of funds that make up our total portfolio. As such it tends to provide a traditional return profile. The other funds in the Portfolio are EVF , EHF-1 a short fund, and EHF-S a special situations short fund.
The total investment approach is Hedge Fund / long-short / macro / contrarian with an emphasis in aggressive decision profiles.
Further information can be found on our website: eureka-perspectives.com
You will note our... [ more ] |
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| 8 |
Manager
Name |
Fund
Symbol |
Fund
Name |
NAV |
Return |
| sadiebucvg |
MIK |
Personal - Non Compliant |
7.05 |
8.74% |
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Fund
Description |
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Growth / Value - Non Compliant. Stocks may contain a significant portion (> 10%) of portfolio. |
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| 9 |
Manager
Name |
Fund
Symbol |
Fund
Name |
NAV |
Return |
| dbs132 |
DMF |
dbs132's Mutual Fund |
11.89 |
8.63% |
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Fund
Description |
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Short to Medium Term Trading, primarily micro and small cap stocks |
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| 10 |
Manager
Name |
Fund
Symbol |
Fund
Name |
NAV |
Return |
| srshah |
MTNDX |
Mountain View Dividend Yield Fund |
26.57 |
8.47% |
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Fund
Description |
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This value fund invests only in equity securities that yield at least the same amount as 7-year treasuries at the time of purchase. |
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| 11 |
Manager
Name |
Fund
Symbol |
Fund
Name |
NAV |
Return |
| rosexu |
TRTF |
TestRealTradingFund |
13.98 |
8.44% |
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Fund
Description |
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This fund will be used to test my trading skills |
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| 12 |
Manager
Name |
Fund
Symbol |
Fund
Name |
NAV |
Return |
| jmcdowell |
JMDFL |
jmcdowell's Deflation Fund |
8.28 |
8.30% |
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Fund
Description |
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Seeks to gain with USD strength. |
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| 13 |
Manager
Name |
Fund
Symbol |
Fund
Name |
NAV |
Return |
| ryanjustis |
HF |
Health Care Fund |
9.66 |
8.15% |
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Fund
Description |
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Sectored in Health Care, this fund is the first in my portfolio to test the potential annual growth within the sector. I am optimistic and anticipate a 5% return annually. |
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| 14 |
Manager
Name |
Fund
Symbol |
Fund
Name |
NAV |
Return |
| charmcitybadger |
CMF |
charmcitybadger's Mutual Fund |
8.23 |
8.13% |
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Fund
Description |
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Concentrated Long-biased fund focused on fundamental bottom-up stock picking. The Fund will be concentrated in positions but diversified across sectors. The Fund will maintain a small- and micro-cap bias as those areas of the market present the greatest inefficiencies, but I may include larger companies if a great opportunity presents itself. Most stocks will adhere to typical value stock principals (Graham and Dodd or Buffett type approach), however, I may include some companies that are... [ more ] |
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| 15 |
Manager
Name |
Fund
Symbol |
Fund
Name |
NAV |
Return |
| andydoe |
AMF |
andydoe's Mutual Fund |
12.24 |
8.13% |
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Fund
Description |
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This fund has been created to take advantage of the unbelievable bargains there are in the market today. It will demonstrate just how good this time is as a buying opportunity. |
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| 16 |
Manager
Name |
Fund
Symbol |
Fund
Name |
NAV |
Return |
| elan123 |
EMF |
elan123's Mutual Fund |
9.94 |
7.90% |
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Fund
Description |
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Blue chips and small cap growths |
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| 17 |
Manager
Name |
Fund
Symbol |
Fund
Name |
NAV |
Return |
| jubals |
ENER |
Jubals Energy Fund |
31.85 |
7.88% |
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Fund
Description |
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selected bacuse indicators look right. Expect growth. This is a very high risk portfolio. Transitioning into a fund for the energy sector. 061005, adding utilities.
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| 18 |
Manager
Name |
Fund
Symbol |
Fund
Name |
NAV |
Return |
| tinplate |
PPTHX |
Pinpoint Healthcare |
12.03 |
7.83% |
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Fund
Description |
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Health Care sector
growth/long term gain |
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| 19 |
Manager
Name |
Fund
Symbol |
Fund
Name |
NAV |
Return |
| andydoe |
AMF1 |
andydoe's Mutual Fund - 2 |
13.81 |
7.82% |
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Fund
Description |
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New Fund |
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| 20 |
Manager
Name |
Fund
Symbol |
Fund
Name |
NAV |
Return |
| kuuks |
KMF |
Kuuks's Mutual Fund |
8.36 |
7.68% |
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Fund
Description |
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This is a focused value fund that seeks to invest in companies with a large margin of safety to achieve market-beating absolute returns over the long run. We look for value globally and across all market caps, but have a bias towards small caps. |
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| Rankings are based on the best information available on the date the rankings were published and may not take into account corporate actions or stock price corrections that occurred after that date. |
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