FWIW, Sitting here bored on NY Day, and slight headache. The following table gives you an idea of what a $10,000 investment would have done in the selected Y2K companies. Assuming purchase was made 12/24 at the closing price. Gives a little idea of whats moving and whats not in the last week or so.
Ron
Portfolio: Y2K (12-25)
Symbol Shares Last/NAV Change Pur.Price Gain/Loss Value ACLY 419.00 27 +1/8 23 7/8 +1,309.38 ALYD 648.00 15 3/4 +1.03 15.44 +200.88 CBSL 259.00 43 1/2 +15/16 38 5/8 +1,262.63 CHRZ 233.00 45 1/2 +2 9/16 43 +582.50 CRYSF 440.00 25 1/2 +1 22 3/4 +1,210.00
DDIM 542.00 17 3/8 +15/16 18 7/16 -575.88 IMRS 317.00 37 1/2 +1 1/4 31 1/2 +1,902.00 ISLI 608.00 20 1/4 +13/16 16 7/16 +2,318.00 KEA 263.00 40 5/8 -1/16 38 +690.38 MIFGY 261.00 40 3/8 +7/8 38 3/8 +522.00 NEOM 1,280.00 9 3/32 +1/32 7 13/16 +1640.00 PTUS 533.00 20 3/8 +1/4 18 3/4 +866.13 SYNT 755.00 14 1/4 +1/2 13 1/4 +755.00 TPRO 1,538.00 6 1/2 -1/8 6 1/2 .00
TSRI 640.00 15 5/8 -3/4 15 5/8 +0.00
UCMP 1,441.00 7 7/8 +3/4 6 15/16 +1,350.94 VIAS 266.00 42 1/4 +3 1/4 37 5/8 +1,230.25 ZITL 947.00 9 1/2 +1/8 10 9/16 -1,006.19
*Total* +14,258.01 194,284.50 |