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Last update 2/14/2012 2:00 PM          
  APM Portfolio 980,738  
APM YTD Return 2.41% Today's Change -2,222  
  Today's % Change -0.23%  
NASDAQ YTD 10.38%   APM vs NASDAQ today -0.15%    
Ticker Name Price as of 02-14-12 Shares Value %Portfolio Average Cost
0017658669 PFD AMR Corp 6.15 1,400 8,613 0.9% 15.98
801 Golden Meditech Holdings Ltd 0.13 289,533 38,837 4.0% 0.28
904 China Green Holdings Ltd/Bermuda 0.34 22,500 7,719 0.8% 0.23
ALGT Allegiant Travel Co 53.67 1,000 53,670 5.5% 45.27
APWR A-Power Energy Generation Systems Ltd 0.65 6,600 4,290 0.4% 9.75
BDX Becton Dickinson and Co 76.84 500 38,420 3.9% 69.18
BIJ Bijou Brigitte AG 92.02 185 17,024 1.7% 102.75
BLK BlackRock Inc 191.41 178 34,071 3.5% 163.95
BRK/B Berkshire Hathaway Inc 79.05 670 52,964 5.4% 66.02
CERAMICB Internacional de Ceramica SAB de CV 1.43 19,800 28,304 2.9% 0.49
CERAMICD Internacional de Ceramica SAB de CV 1.38 19,400 26,855 2.7% 0.49
CFFN Capitol Federal Financial Inc 11.55 1,300 15,015 1.5% 9.27
CO China Cord Blood Corp 2.90 3,250 9,425 1.0% 7.46
DEO Diageo PLC 94.56 330 31,205 3.2% 82.42
EGOV NIC Inc 12.40 1,600 19,840 2.0% 11.92
ELRN Elron Electronic Industries Ltd 4.11 1,100 4,519 0.5% 9.05
GOOG Google Inc 609.60 60 36,576 3.7% 494.93
GSM Globe Specialty Metals Inc 14.26 2,000 28,520 2.9% 16.31
JOY Joy Global Inc 85.36 300 25,608 2.6% 50.74
KKR KKR & Co LP 14.97 2,000 29,940 3.1% 11.36
KSU Kansas City Southern 68.97 800 55,176 5.6% 33.29
MEDW Mediware Information Systems 13.63 3,300 44,979 4.6% 11.90
NRGM Inergy Midstream LP 20.77 500 10,385 1.1% 17.00
PAYX Paychex Inc 31.26 1,200 37,512 3.8% 28.20
PNK Pinnacle Entertainment Inc 10.13 3,900 39,507 4.0% 10.67
PXP Plains Exploration & Production Co 42.90 400 17,160 1.7% 35.03
SAVE Spirit Airlines Inc 19.59 2,900 56,811 5.8% 13.79
TINY Harris & Harris Group Inc 4.17 2,700 11,259 1.1% 4.62
TPZ Tortoise Power and Energy Infrastructure Fund Inc 25.59 680 17,401 1.8% 20.35
TYY Tortoise Energy Capital Corp 28.30 700 19,810 2.0% 25.07
V Visa Inc 112.92 300 33,875 3.5% 77.10
VT Vanguard Total World Stock Index Fund ETF 46.90 670 31,423 3.2% 46.60
WX WuXi PharmaTech Cayman Inc 13.74 1,300 17,862 1.8% 16.62
  Cash 76,161 7.8% 0.00
      APM Portfolio 980,738 100.0%  
  Golden Meditech Holdings Ltd 0.13 3,365,000 451,369 31.2%  
  Cash in DA Fund 14,515  
      Total APM 1,432,107    
Last update 2/14/2012 4:11 PM          
  APM Portfolio 981,392  
APM YTD Return 2.48% Today's Change -1,164  
  Today's % Change -0.12%  
NASDAQ YTD 10.52%   APM vs NASDAQ today -0.15%    
Ticker Name Price as of 02-14-12 Shares Value %Portfolio Average Cost
0017658669 PFD AMR Corp 5.95 1,400 8,330 0.8% 15.98
801 Golden Meditech Holdings Ltd 0.13 289,533 38,833 4.0% 0.28
904 China Green Holdings Ltd/Bermuda 0.34 22,500 7,718 0.8% 0.23
ALGT Allegiant Travel Co 53.42 1,000 53,420 5.4% 45.27
APWR A-Power Energy Generation Systems Ltd 0.68 6,600 4,488 0.5% 9.75
BDX Becton Dickinson and Co 76.70 500 38,350 3.9% 69.18
BIJ Bijou Brigitte AG 89.70 185 16,594 1.7% 102.75
BLK BlackRock Inc 191.52 178 34,091 3.5% 163.95
BRK/B Berkshire Hathaway Inc 78.92 670 52,876 5.4% 66.02
CERAMICB Internacional de Ceramica SAB de CV 1.43 19,800 28,304 2.9% 0.49
CERAMICD Internacional de Ceramica SAB de CV 1.38 19,400 26,855 2.7% 0.49
CFFN Capitol Federal Financial Inc 11.71 1,300 15,223 1.6% 9.27
CO China Cord Blood Corp 2.97 3,250 9,653 1.0% 7.46
DEO Diageo PLC 94.69 330 31,248 3.2% 82.42
EGOV NIC Inc 12.39 1,600 19,824 2.0% 11.92
ELRN Elron Electronic Industries Ltd 4.10 1,100 4,512 0.5% 9.05
GOOG Google Inc 609.76 60 36,586 3.7% 494.93
GSM Globe Specialty Metals Inc 14.14 2,000 28,280 2.9% 16.31
JOY Joy Global Inc 85.45 300 25,635 2.6% 50.74
KKR KKR & Co LP 14.61 2,000 29,220 3.0% 11.36
KSU Kansas City Southern 69.60 800 55,680 5.7% 33.29
MEDW Mediware Information Systems 13.90 3,300 45,870 4.7% 11.90
NRGM Inergy Midstream LP 20.50 500 10,250 1.0% 17.00
PAYX Paychex Inc 31.22 1,200 37,464 3.8% 28.20
PNK Pinnacle Entertainment Inc 10.24 3,900 39,936 4.1% 10.67
PXP Plains Exploration & Production Co 43.10 400 17,240 1.8% 35.03
SAVE Spirit Airlines Inc 19.49 2,900 56,521 5.8% 13.79
TINY Harris & Harris Group Inc 4.16 2,700 11,232 1.1% 4.62
TPZ Tortoise Power and Energy Infrastructure Fund Inc 25.80 680 17,543 1.8% 20.35
TYY Tortoise Energy Capital Corp 28.49 700 19,943 2.0% 25.07
V Visa Inc 115.24 300 34,572 3.5% 77.10
VT Vanguard Total World Stock Index Fund ETF 46.87 670 31,403 3.2% 46.60
WX WuXi PharmaTech Cayman Inc 13.49 1,300 17,537 1.8% 16.62
  Cash 76,161 7.8% 0.00
      APM Portfolio 981,392 100.0%  
  Golden Meditech Holdings Ltd 0.13 3,365,000 451,323 31.2%  
  Cash in DA Fund 14,515  
      Total APM 1,432,715