Update for my portfolio for 2016-05-31 post trade

Symbol Transaction Return/Planned Selling Date
REGN SELL %0.28
URI SELL %4.43
CF SELL %-6.13
OKE SELL %3.35
MCK SELL %1.34
WMB SELL %-1.68
TDG SELL %6.16
ALXN SELL %4.96
MA SELL %1.73
ADM SELL %5.09
VIAB SELL %6.76
IVZ SELL %1.87
SWN SELL %0.0
WYNN SELL %-1.08
CHK SELL %-8.64
CNX SELL %-0.6
MU SELL %5.76
DVN SELL %1.77
AMAT SELL %1.93
LM SELL %1.57
Average SELL %1.44
PRGO BUY 2016-06-03
CXO BUY 2016-06-03
TDC BUY 2016-06-03
PVH BUY 2016-06-03

Conclusions for 05/26/16

Symbol Return
MU %0.17
URI %-0.07
SWN %-0.61
WYNN %-0.07
AMAT %0.54
MCK %-0.03
IVZ %0.22
CHK %-1.68
ALXN %0.02
CNX %-0.67
VIAB %0.47
CF %-0.21
TDG %0.11
CRM %-0.28
MA %0.16
Average %-0.13

Conclusions for 05/24/16

Symbol Return
REGN %0.2
MU %4.01
URI %3.52
CF %4.46
AMAT %1.55
OKE %1.33
MCK %-1.82
WMB %-6.96
TDG %0.16
PRGO %0.54
ALXN %1.03
CRM %0.45
MA %0.05
MNST %0.12
RL %0.57
ADM %2.89
Average %0.76