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Model portfolios: recent developments

Article Abstract:

Stock portfolios of the Value Line Inc. for the early part of December 2007 are presented. Value Line's holdings in Portfolio I, including the stocks of Charles River Labs and Coca-Cola, have performed better than the stocks in oilfield and technology services industry. Details on the Value Line's portfolio changes and the performance of the company's holdings are provided.

Publisher: Value Line Publishing, Inc.
Publication Name: The Value Line Investment Survey (Part 2 - Selection & Opinion)
Subject: Business, general
ISSN:
Year: 2007

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Model portfolios: recent development

Article Abstract:

The performance of the stocks found in Value Line Inc.'s portfolios is examined. pfizer, in particular, showed third quarter of 2007 results that are better than what was expected, with a share net of $0.58. The stocks' timeliness, safety, price appreciation potential, yield, and financial strength are presented.

Publisher: Value Line Publishing, Inc.
Publication Name: The Value Line Investment Survey (Part 2 - Selection & Opinion)
Subject: Business, general
ISSN:
Year: 2007
United States

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Model portfolios: recent developments

Article Abstract:

Stock holdings of Value Line Inc. in the late part of Novemeber 2007 are presented. The Cisco Systems' stock has been added to Portfolio I, while stakes in Home Depot, which are in Portfolio III, had been divested. The performance of the different stocks in Value Line's portfolios is examined.

Publisher: Value Line Publishing, Inc.
Publication Name: The Value Line Investment Survey (Part 2 - Selection & Opinion)
Subject: Business, general
ISSN:
Year: 2007

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Subjects list: Publishing industry, United States, Evaluation, Stocks, Portfolio management, Securities, Stock prices, Company securities, Table, Value Line Inc.
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