Best and Worst Mutual Funds of 2011

By Ben Steverman and Wei Lu - 2011-12-16T23:15:45Z

Photograph by Donald Miralle/Getty Images

Company Symbol % Change
LKQ Corp LKQ:US -3.56
Weight Watchers International Inc WTW:US -6.18
VCA Inc WOOF:US -0.17
Whole Foods Market Inc WFM:US -2.65
Wells Fargo & Co WFC:US -1.07
Waste Connections Inc WCN:US -0.21
Valeant Pharmaceuticals International Inc VRX:CN -5.94
United Continental Holdings Inc UAL:US -4.33
TJX Cos Inc/The TJX:US -1.34
Teleflex Inc TFX:US -1.53
Teva Pharmaceutical Industries Ltd TEVA:IT -0.66
AT&T Inc T:US 0.18
Sears Holdings Corp SHLD:US -6.53
SBA Communications Corp SBAC:US -1.33
EchoStar Corp SATS:US -1.40
Perrigo Co PLC PRGO:US -1.39
Priceline Group Inc/The PCLN:US 1.90
VeriFone Systems Inc PAY:US -2.18
OM Group Inc OMG:US
National Oilwell Varco Inc NOV:US 6.40
Merck & Co Inc MRK:US -1.81
MasterCard Inc MA:US -0.78
Lorillard LLC LO:US
Kaiser Aluminum Corp KALU:US 1.11
JPMorgan Chase & Co JPM:US -0.90
International Rectifier Corp IRF:US
Hexcel Corp HXL:US -2.08
H&R Block Inc HRB:US -3.17
HMS Holdings Corp HMSY:US 17.48
Herbalife Ltd HLF:US -2.90
GP Strategies Corp GPX:US -3.57
Finisar Corp FNSR:US -2.82
Ford Motor Co F:US -3.44
eBay Inc EBAY:US -1.67
DISH Network Corp DISH:US -1.24
Cognizant Technology Solutions Corp CTSH:US -2.54
Cepheid CPHD:US -18.84
Cooper Cos Inc/The COO:US -1.86
ClickSoftware Technologies Ltd CKSW:US
Brightpoint Inc CELL:US
Cubist Pharmaceuticals LLC CBST:US
Berkshire Hathaway Inc BRK/A:US -0.64
Bristol-Myers Squibb Co BMY:US -0.62
BioMarin Pharmaceutical Inc BMRN:US -1.45
BioScrip Inc BIOS:US -1.29
Bank of America Corp BAC:US -1.42
Apollo Education Group Inc APOL:US 0.33
Alexion Pharmaceuticals Inc ALXN:US -1.78
American International Group Inc AIG:US -0.64
Assured Guaranty Ltd AGO:US -1.23
Alliance Data Systems Corp ADS:US 0.35
Apple Inc AAPL:US -1.17
Verizon Communications Inc VZ:US -0.42
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CGM Focus Fund

Style/Ticker: Growth, CGMFX

Manager: G. Kenneth Heebner

Total return 2011: -23.7 percent

Assets: $3 billion

Top three holdings as of June 30, with 2011 total return: (PCLN), +22 percent

Herbalife Ltd. (HLF), +66 percent

National Oilwell Varco (NOV), +6.3 percent