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Technology Stocks : C-Cube
CUBE 36.29+1.9%Nov 21 9:30 AM EST

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To: Stoctrash who wrote (26799)12/17/1997 4:05:00 PM
From: DiViT  Read Replies (1) of 50808
 
Rocker sold ESS and bought more Cube...

From todays 13f filing...
13F Advance: Rocker Opens Komag Stake In 3rd Qtr (CONT)

12/17/97
Select Federal Filings Newswires
(Copyright (c) 1997, Dow Jones & Company, Inc.)

FEDDERS CORP. .9 150,000 6 7-6 7-6
MECHANICS SAVINGS BANK .5 20,000 27 26-19 29-15
MOSAIX INC. .3 25,000 8 15-7 18-7
READERS DIGEST ASSOCIATION .2 7,000 24 31-25 41-21
GOLDEN STAR RESOURCES LTD. .2 25,000 2 8-4 17-3

MARKET PRICE
ELIMINATED POSITIONS: VALUE SHARES RECENT RANGE 52
($ MMs) SOLD PRICE QTR WEEK

ADVANTA CORP. CL A $4.0 109,000 27 38-26 55-20
ESS TECHNOLOGY INC. 2.7 200,000 10 18-13 35-10
ENSERCH CORP. 2.3 105,000 Acq. by Texas Utilities
WINDMERE DURABLE HOLDING 1.6 100,000 21 25-16 27-12
BEVERLY ENTERPRISES INC. 1.2 75,000 17 18-15 18-12
FASTENAL CO. 1.0 21,000 40 61-49 61-31
SANTA FE ENERGY RESOURCES .5 14,900 11 10-8 14-7
MELLON BANK CORP. .5 10,000 60 58-45 59-34
ELANTEC SEMICONDUCTOR .4 100,000 7 7-4 8-3
AMERICAN BUSINESS FINANCIAL .4 20,000 24 24-20 28-17
IWL COMMUNICATIONS INC. .1 10,000 10 9-5 14-5

TOP PURCHASES BY MARKET VALUE

VALUE
SHS PURCH SHARES SHARES
($ MMs) PURCHASED OWNED

KOMAG INC. $3.1 150,000* 150,000
SYQUEST TECHNOLOGY INC. 2.7 887,500* 887,500
SIGMA DESIGNS INC. 2.4 292,800* 292,800
PAINE WEBBER GROUP INC. 1.9 40,000* 40,000
PHILIP SERVICES CORP. 1.5 80,000* 80,000
CAMPBELL RESOURCES INC. 1.0 1,475,300 3,909,100
FEDDERS CORP. .9 150,000* 150,000
THORN APPLE VALLEY INC. .7 37,150 567,200
C-CUBE MICROSYSTEMS INC. .7 20,000 415,400
MECHANICS SAVINGS BANK .5 20,000* 20,000
MOSAIX INC. .3 25,000* 25,000
SHERWOOD GROUP INC. .2 15,200 32,500
READERS DIGEST ASSOCIATION .2 7,000* 7,000
COMSTOCK RESOURCES INC. .2 14,700 320,200
GOLDEN STAR RESOURCES LTD. .2 25,000* 25,000
ELECTROMAGNETIC SCIENCES INC. .1 3,750 447,850
OPTA FOOD INGREDIENTS INC. .1 15,900 1,052,050

* denotes new position

TOP SALES BY MARKET VALUE

VALUE
SHS SOLD SHARES SHARES
($ MMs) SOLD OWNED

SEAGULL ENERGY CORP. $5.1 200,000 100,000
ADVANTA CORP. CL A 4.0 109,000* 0
APACHE CORP. 3.3 77,500 135,000
ESS TECHNOLOGY INC. 2.7 200,000* 0
ENSERCH CORP. 2.3 105,000* 0
EGGHEAD INC. 2.0 226,500 1,485,000
WINDMERE DURABLE HOLDING INC. 1.6 100,000* 0
TII INDUSTRIES INC. 1.2 153,100 60,000
BEVERLY ENTERPRISES INC. 1.2 75,000* 0
FASTENAL CO. 1.0 21,000* 0
BOSTON CHICKEN INC. 1.0 64,600 146,000
ROYAL OAK MINES INC. .9 307,900 2,799,500
KLLM TRANSPORT SERVICES INC. .6 45,000 50,000
SANTA FE ENERGY RESOURCES .5 14,900* 0
MELLON BANK CORP. .5 10,000* 0
ELANTEC SEMICONDUCTOR INC. .4 100,000* 0
AMERICAN BUSINESS FINANCIAL .4 20,000* 0
SPEEDWAY MOTORSPORTS INC. .3 11,000 573,500
BROOKSTONE INC. .2 18,500 280,000
IWL COMMUNICATIONS INC. .1 10,000* 0

* denotes eliminated position

GREATEST PERCENT CHANGE IN SHARES OWNED FROM PREVIOUS QUARTER

MKT VAL MKT VAL CHANGE
PURCHASES: SHARES SHS PURCH SHARES SHS OWNED SHS
PURCH ($ MMs) OWNED ($ MMs) OWNED

SHERWOOD GROUP INC. 15,200 $.2 32,500 $.5 87.9%
CAMPBELL RESOURCES 1,475,300 1.0 3,909,100 2.7 60.6%
THORN APPLE VALLEY 37,150 .7 567,200 10.1 7.0%
C-CUBE MICROSYSTEMS 20,000 .7 415,400 14.1 5.1%
COMSTOCK RESOURCES 14,700 .2 320,200 3.7 4.8%
OPTA FOOD INGREDIENTS 15,900 .1 1,052,050 6.6 1.5%
ELECTROMAGNETIC SCIENCES 3,750 .1 447,850 12.7 .8%

MKT VAL MKT VAL CHANGE
SHARES SHS SOLD SHARES SHS OWNED SHS
SALES: SOLD ($ MMs) OWNED ($ MMs) OWNED

TII INDUSTRIES INC. 153,100 $1.2 60,000 $.5 71.8%
SEAGULL ENERGY CORP. 200,000 5.1 100,000 2.6 66.7%
KLLM TRANSPORT SERVICES 45,000 .6 50,000 .6 47.4%
APACHE CORP. 77,500 3.3 135,000 5.8 36.5%
BOSTON CHICKEN INC. 64,600 1.0 146,000 2.2 30.7%
EGGHEAD INC. 226,500 2.0 1,485,000 13.4 13.2%
ROYAL OAK MINES INC. 307,900 .9 2,799,500 8.0 9.9%
BROOKSTONE INC. 18,500 .2 280,000 3.3 6.2%
SPEEDWAY MOTORSPORTS 11,000 .3 573,500 14.1 1.9%

TOP TEN HOLDINGS BY MARKET VALUE

HOLDING CHANGE
VALUE SHARES SHARES
($ MMs) OWNED OWNED

C-CUBE MICROSYSTEMS INC. $14.1 415,400 20,000
SPEEDWAY MOTORSPORTS INC. 14.1 573,500 (11,000)
EGGHEAD INC. 13.4 1,485,000 (226,500)
ELECTROMAGNETIC SCIENCES INC. 12.7 447,850 3,750
THORN APPLE VALLEY INC. 10.1 567,200 37,150
ROYAL OAK MINES INC. 8.0 2,799,500 (307,900)
OPTA FOOD INGREDIENTS INC. 6.6 1,052,050 15,900
APACHE CORP. 5.8 135,000 (77,500)
COMSTOCK RESOURCES INC. 3.7 320,200 14,700
BORLAND INTERNATIONAL INC. 3.4 337,500 0

13F Advance is designed to provide factual information but its accuracy
cannot be guaranteed. Any opinions are our own. Federal Filings, Inc.
is not a registered investment advisor, and under no circumstances shall
any of the information contain herein be construed as a buy or sell
recommendation or investment advice of any kind.

Inquiries about the product should be directed to Miles T. Green, CFA,
Senior Investment Analyst at 202-628-8912.

/FEDERAL FILINGS CONTACTS: (202) 393-7856 FOR EDITORIAL, (800) 487-6162 FOR DOCUMENT SALES, (202) 628-8990 FOR NEWSWIRE SALES, (888) FED-FILE FOR TECHNICAL SUPPORT,
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