Conclusions and my portfolio for 2017-03-21 post trade

Conclusions to my suggestions:

Symbol Return
ORCL %0.92
SAN %-0.5
WYNN %2.48
WOR %-0.64
TSU %-0.43
NUE %-0.37
LOPE %1.05
CPA %0.67
TTM %0.27
MPEL %4.35
PNR %0.17
CNQ %-1.45
HRG %-0.62
IBN %-1.9
HOG %-0.29
EMR %0.2
INVE %8.26
DRYS %-37.04
DMLP %-8.57
ATRS %-0.36
COKE %1.13
CMRE %1.0
BG %-2.07
Average %-1.47

Current Portfolio:

Symbol Bought Date % Portfolio Return Plan
RAI 2017-02-24 %11.44 %0.81 Sell before 2017-05-25 open
BG 2017-02-28 %4.57 %-1.77 Sell before 2017-03-31 open
CPA 2017-02-28 %4.8 %3.92 Sell before 2017-03-31 open
DXCM 2017-02-28 %4.91 %0.61 Sell before 2017-03-31 open
EMR 2017-02-28 %4.76 %-0.27 Sell before 2017-03-31 open
CB 2017-02-28 %4.63 %0.14 Sell before 2017-03-31 open
CHKP 2017-02-28 %5.03 %2.51 Sell before 2017-03-31 open
MGM 2017-03-20 %8.96 %-2.88 Sell before 2017-03-24 open
LRCX 2017-03-20 %9.99 %0.17 Sell before 2017-03-24 open
MYE 2017-03-20 %10.1 %-2.91 Sell before 2017-03-24 open
SPY 2017-03-21 %30.8 %-0.32 Sell before 2018-03-22 open

Average return is: %0.0
Today I’ve sold:

Symbol Bought Date Return

Average return is: %0

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