Conclusions and my portfolio for 2017-03-20 post trade

Current Portfolio:

Symbol Bought Date % Portfolio Return Plan
RAI 2017-02-24 %16.54 %0.37 Sell before 2017-05-25 open
BG 2017-02-28 %6.6 %1.05 Sell before 2017-03-31 open
CPA 2017-02-28 %6.94 %3.96 Sell before 2017-03-31 open
DXCM 2017-02-28 %7.09 %-0.32 Sell before 2017-03-31 open
EMR 2017-02-28 %6.87 %0.56 Sell before 2017-03-31 open
CB 2017-02-28 %6.69 %0.84 Sell before 2017-03-31 open
CHKP 2017-02-28 %7.27 %2.24 Sell before 2017-03-31 open
MGM 2017-03-20 %12.95 %0.62 Sell before 2017-03-24 open
LRCX 2017-03-20 %14.44 %-0.13 Sell before 2017-03-24 open
MYE 2017-03-20 %14.6 %0.97 Sell before 2017-03-24 open

Average return is: %1.02
Today I’ve sold:

Symbol Bought Date Return
INTT 2017-03-15 %0.0
CMTL 2017-03-15 %3.42
LAZ 2017-03-15 %-1.38
IBN 2017-03-15 %-2.13
LCUT 2017-03-15 %-3.08
QUIK 2017-03-15 %-6.07
WYNN 2017-03-15 %4.71

Average return is: %-0.65
Conclusions to my suggestions:

Symbol Return
HOG %-0.66
PNR %-0.13
WYNN %2.12
VALE %-3.36
WOR %0.04
RIO %-0.18
CNQ %-0.33
CPA %1.0
PUK %1.86
LAZ %-0.83
TTM %-1.76
A %-0.7
NEU %0.11
HAIN %0.59
IBN %-1.16
EMR %0.18
LMNR %-2.63
DRYS %10.81
DMLP %3.95
BG %0.77
JAZZ %-2.72
Average %0.33
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