WVIC Portfolio


Portfolio as of 12/21/00

Portfolio
Company and Symbol Shares Held Last/NAV Pur. Price Gain/Loss Current Value % Gain/Loss
$$CASH 275.00
Amgen Inc. AMGN 60 63.6875 63.13 +33.45 3,821.25 +1%
America On-Line AOL 220 37.66 37.79 -28.60 8,285.20 -.5%
Avaya Inc AV 102 11.00 10.15 +86.70 1,122.00 +8%
Compaq CPQ 136.65 14.70 28.54 -1,891.24 2,008.75 -49%
Dana Corp DCN 77.98 13.00 43.96 -2,414.26 1,013.74 -70%
Family Dollar Stores FDO 104 20.375 17.52 +296.92 2,119.00 +16%
General Electric Company GE 110.68 47.88 46.53 +148.86 5,298.80 +3%
Home Depot HD 106.40 42.875 35.83 +749.588 4,561.90 +20%
Harley-Davidson HDI 126.40 35.25 20.89 +1,815.10 4,455.60 +69%
Lucent Technology LU 201.95 14.19 20.62 -1,299.04 2,865.16 -31%
Philip-Morris MO 54.20 44.13 29.63 +785.63 2,391.57 +49%
Merck MRK 51.14 92.50 56.32 +1,850.25 4,730.45 +64%
Pepsico PEP 6.09 48.75 33.83 +90.86 296.88 +44
Soverign Bancorp SVRN 238.45 7.72 10.83 -741.88 1,840.53 -29%
Viacom Inc CL B VIA.B 46 47.00 41.75 +241.50 2,162.00 +13%
MCI Worldcom WCOM 102 14.19 41.97 -2,833.82 1,447.12 -66%
Waste Management WMI 65.35 25.94 33.37 -485.71 1,695.01 -22%
Walmart Stores WMT 34.89 51.75 45.86 +205.50 1,805.55 +13%
Total -3,390.18 52,195.56 -6.12%

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