Chicks' Portfolio
as of 9/17/00 | Portfolio
Archive
»
Since September 1998 the Chicks have bought a stock every three months.
The numbers below indicate how well their portfolio has done, along with
comparisons to the S&P 500.
STOCK |
PURCHASE |
# SHARES |
COST/SHARE |
ORIGINAL
COST |
WORTH
TODAY |
% CHANGE |
CHANGE IN
S&P500 |
| AMERICA ONLINE
(AOL) |
12/1/98 |
72 |
21.493 |
$1,547.48 |
$2,160.00 |
39.58% |
-11.62% |
| CISCO SYSTEMS (CSCO) |
3/10/99 |
56 |
26.29 |
$1,472.23 |
$784.00 |
-46.75% |
-19.28% |
| COCA-COLA CO
(KO) |
10/4/98 |
30 |
63.908 |
$1,917.23 |
$1,506.00 |
-21.45% |
3.61% |
| EMC |
12/5/00 |
20 |
77.3 |
$1,545.98 |
$275.00 |
-82.21% |
-24.54% |
| EMC |
3/13/01 |
52 |
31.53 |
$1,639.63 |
$715.00 |
-56.39% |
-13.27% |
| GAP INC (GPS) |
6/14/99 |
34 |
44.156 |
$1,501.45 |
$425.34 |
-71.67% |
-19.72% |
| GENL ELECTRIC
(GE) |
3/3/00 |
30 |
47.158 |
$1,414.73 |
$1,054.50 |
-25.46% |
-26.28% |
| H&R BLOCK (HRB) |
9/10/01 |
40 |
37.79 |
$1,511.73 |
$1,466.00 |
-3.03% |
-4.92% |
| NOKIA CORP ADS
(NOK) |
8/30/99 |
72 |
21.352 |
$1,537.36 |
$1,111.68 |
-27.69% |
-21.54% |
| ORACLE CORP (ORCL) |
12/7/99 |
80 |
19.55 |
$1,563.75 |
$880.80 |
-43.67% |
-26.28% |
| MEDTRONICS
(MDT) |
6/4/01 |
34 |
43.48 |
$1,481.73 |
$1,385.84 |
-6.47% |
-18.02% |
| PFIZER, INC (PFE) |
10/4/98 |
60 |
33.204 |
$1,992.23 |
$2,288.40 |
14.87% |
3.61% |
| SUN MICROSYSTM (SUNW) |
6/6/00 |
36 |
44.24 |
$1,592.48 |
$354.60 |
-77.73% |
-28.75% |
| YAHOO (YHOO) |
9/5/00 |
13 |
115.58 |
$1,502.54 |
$141.44 |
-90.59% |
-31.07% |
|
|
|
|
______ |
______ |
______ |
|
TOTALS |
|
|
|
$22,220.40 |
$14,548.60 |
-34.53% |
-16.23% |
Overall
Return: -34.53% | Change In S&P 500: -16.23%*
*What
the S&P has done during the same time period of ownership of
stock. | Portfolio
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