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David Williams

David Williams

Last Update: 2012-02-16

Number of Stocks: 56
Number of New Stocks: 4

Total Value: $4,475 Mil
Q/Q Turnover: 3%

Countries: USA
Details: Top Buys | Top Sales | Top Holdings  Embed:

David Williams Bought :



TickerCompanyupDate Action
Impact Price Range
(Average)*
Current Price Change from Average Comment Current Shares
ROK Rockwell Automation ... 2008-03-31 Add0.32%$51.76 - $63.43
($56)
$ 90.6962%Add 40%1,750,000
SCHN Schnitzer Steel Indu... 2008-03-31 Add0.16%$49.37 - $70.94
($61.3)
$ 26.89-56%Add 11.76%1,900,000
SSCCQ SmurfitStone Contain... 2008-03-31 Add0.1%$7.54 - $10
($8.6)
$ 0.027-100%Add 26.67%5,700,000
SLT Sterlite Industries ... 2008-03-31 Add0.1%$17.14 - $26.32
($20.7)
$ 7.01-66%Add 15.63%3,700,000
PNC The PNC Financial Se... 2008-03-31 Add0.14%$56.8 - $66.84
($61.9)
$ 72.217%Add 13.33%1,700,000
TYC Tyco International L... 2008-03-31 Add0.34%$16.98 - $22.29
($19.75)
$ 34.2674%Add 41.18%4,800,000
UNP Union Pacific Corp. 2008-03-31 Add0.14%$55.02 - $63.75
($60.6)
$ 158.46162%Add 5.56%1,900,000
UTX United Technologies ... 2008-03-31 Add0.15%$67.2 - $74.37
($70.3)
$ 97.5539%Add 11.76%1,900,000
Premium Real Time Picks are included for Premium Members only!!
*The price and date might not be the actual time and price at which the transactions were made. In the case of institutional owners, the date is stated as the last day of their fiscal quarter. The prices are estimates if no accurate information available. Foreign holdings may not be included.

David Williams's Profile:

David Williams is the manager of Columbia Value & Restructuring Fund. He has managed the fund since it opened in 1992. Williams graduated from Yale University with a degree in art history.



David Williams's Performance:

Average Annual Return of Columbia Value and Restructuri
5 Yrs 10 Yrs Since Inception
-1.9% 4.5% 6.4%
» More Profile & Performance

David Williams's Current Portfolio:


Ticker Shares Value ($1000)
Premium2,300,000243,662
Premium2,100,000239,400
Premium3,000,000210,360
Premium4,500,000199,215
Premium2,900,000187,195
Premium1,000,000183,880
Premium2,350,000171,244
Premium1,700,000160,463
Premium2,400,000148,800
Premium3,900,000145,041
» More Current Portfolio

David Williams's Sector Weightings:


SectorsSector Weightings (%)
Technology 20% 20%
Energy 18.5% 18.5%
Basic Materials 17.4% 17.4%
Financial Services 11.1% 11.1%
Healthcare 8.5% 8.5%
Consumer Defensive 6.8% 6.8%
Consumer Cyclical 4.2% 4.2%
Communication Services 3% 3%
» More Sector Weightings

David Williams's News:

» More Related News


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