Update for my portfolio for 2017-02-06 post trade

Symbol Transaction Return/Planned Selling Date
WYNN SELL %-4.38
STX SELL %1.03
AMG SELL %3.72
CMI SELL %0.64
VIAB SELL %-1.93
HBI SELL %-12.97
NRG SELL %3.46
PPG SELL %-0.6
FOXA SELL %0.83
CHTR SELL %0.86
AGN SELL %9.63
LLL SELL %0.87
ABC SELL %0.98
Average SELL %0.16
AMP BUY 2017-02-08
ENDP BUY 2017-02-08
HCA BUY 2017-02-08
MRK BUY 2017-02-08
EQT BUY 2017-02-08
IVZ BUY 2017-02-08

Conclusions for 01/31/17

Symbol Return
WYNN %-3.84
STX %0.35
URI %1.02
AMG %3.51
CMI %-0.05
VIAB %-1.35
SWKS %-0.46
WDC %-0.44
HBI %-18.55
NRG %1.19
PPG %1.09
FOXA %0.25
CHTR %0.45
AGN %4.88
GLW %-0.08
TEL %0.4
LLL %-0.2
Average %-0.69

Conclusions for 01/29/17

Symbol Return
WYNN %-5.36
URI %-1.12
WDC %-0.05
CSX %-1.71
IP %-2.54
NRG %0.12
CMI %-0.24
FLR %-1.34
YHOO %-0.69
SWKS %-2.41
SPGI %-1.23
GLW %-1.91
DOW %0.22
TEL %0.05
CXO %0.7
VRTX %1.87
TGNA %2.07
Average %-0.8

Update for my portfolio for 2017-02-02 post trade

Symbol Transaction Return/Planned Selling Date
URI SELL %-1.09
CSX SELL %-2.32
SWKS SELL %-0.69
DOW SELL %-0.92
CXO SELL %-2.67
VRTX SELL %-1.24
TGNA SELL %2.61
Average SELL %-0.9
LM BUY 2017-02-05
FCX BUY 2017-02-05
ANTM BUY 2017-02-05
TMO BUY 2017-02-05
OI BUY 2017-02-05
MU BUY 2017-02-05
ABT BUY 2017-02-05