To: carepedeum2000 who wrote (16954 ) 12/19/1999 4:56:00 PM From: Rande Is Read Replies (1) | Respond to of 57584
. . . . LONG PORTFOLIO 1.0 Year End Result. . .+388.68% . . . . December 09, 1998 to December 09, 1999 The number 1 performing mutual fund NGTIX] as of this date returned 454.65%. The number 2 fund [MSCGX] returned 321.26%. This portfolio was our first. It had a few trades during December to tweak it for maximum gains. Otherwise it was not traded and strictly held long-term. This first portfolio was primarily used as a guide to help us in putting together our own long portfolios. However, it wasn't long before requests to make new portfolios poured in. From this first portfolio 1.0, all other 1.x portfolios were derived. Dividends were paid into the port, but are not reflected in the final price. Only the value of stock held on Dec. 09, 1999 are counted. Keep in mind that many companies were bought out by others and still more had stock splits so the number of shares we ended may differ from the original amount. Yahoo 1-yr chart was used for stock split information. Some of the most notable buyouts included GCTY to YHOO, TCOMA/TCOMB to T and USSB to GMH . . . Some stocks changed symbols, as they changed exchanges, such as AMFM became AFM, etc. As of close of business on Dec. 09, 1999 the one year result of Long Portfolio 1.0 is as follows: Start Sym. Cost End Amt. Sym. End Price End Value 1 ADPT 19 1 ADPT 49.25 49.25 1 AMFM 43 1 AFM 76.3125 76.3125 1 AMZN 72 6 AMZN 107.0625 642.375 1 ANF 29 2 ANF 30.1875 60.375 1 ATHM 32 2 ATHM 45.75 91.5 1 BCST 34.875 1.54 YHOO 340 523.6 1 BRCM 53.56 2 BRCM 226.3125 452.625 1 BYND 26 1 BYND 10.875 10.875 1 BVSN 33 3 BVSN 105.5 316.5 1 CHRZ 23 1 CHRZ 14.625 14.625 1 CDNW 18.57 1 CDNW 13.125 13.125 1 COX 30 2 COX 48.625 97.25 1 CPQ 41 1 CPQ 24.75 24.75 1 CS 8 1 CS 23.3125 23.3125 1 DCLK 38 2 DCLK 197 394 1 EXDS 49 8 EXDS 81.25 650 1 GCTY 35 0.34 YHOO 340 115.6 1 GTSG 50 2 GTS 29.125 58.25 1 INKT 58 2 INKT 166.9375 333.875 1 INTU 63 3 INTU 56.8125 170.4375 1 INTV 17.25 2 INTV 15.375 30.75 1 ITWO 25 1 ITWO 165 165 1 IOM 7 1 IOM 3.875 3.875 1 MALL 25 1 MALL 9.5625 9.5625 1 MIPS 26 1 MIPS 60.5 60.5 1 NMGC 22 1 NMGC 9.6875 9.6875 1 NSOL 42 2 NSOL 223.5 447 1 NTKI 17 CDNW 13.125 13.125 1 OZEMY 22 WCOM 76.5625 76.5625 1 RNWK 17.6875 2 RNWK 153 306 1 SEEK 42 1 GO 25.875 25.875 1 SGI 12 1 SGI 11.1875 11.1875 1 SIII 4 1 SIII 8.875 8.875 1 T 43.333 1.5 T 57.8125 86.71875 1 TCOMA 48 0.975 T 57.8125 56.3671875 1 TCOMB 52 1.27 T 57.8125 73.421875 1 TFSM 27 1 TFSM 57.3125 57.3125 1 USSB 9 0.32 GMH 93 29.76 1 VRSN 13 4 VRSN 125.875 503.5 1 WMT 38 2 WMT 38.375 76.75Amt. Invested= $1265.28 Return= $6170.47 % Return= 488.68% Gain= $4905.19 % Gain= +388.68% . Rande Is