Conclusions and my portfolio for 2017-03-23 post trade

Conclusions to my suggestions:

Symbol Return
WYNN %1.66
MPEL %-2.19
CPA %-3.01
SRCL %-4.36
MBT %3.73
NUE %-4.77
MGM %-5.34
PNR %-3.2
LOPE %-2.59
FUL %-0.54
HAIN %-1.31
WOR %-3.51
SAN %0.82
LBTYA %-5.08
GEF %-4.11
EMR %-2.7
INVE %-3.08
LCUT %1.76
QUIK %-14.44
IO %-13.19
CMRE %-13.15
TUES %-13.24
KTOS %-3.09
BG %-2.16
Average %-4.04

Current Portfolio:
Bought on 2017-02-24 and plan to sell before 2017-05-25 open:

Symbol % Portfolio % Return
RAI %11.27 %0.84

Average return is: %0.84
Bought on 2017-02-28 and plan to sell before 2017-03-29 open:

Symbol % Portfolio % Return
BG %4.5 %-0.31
CPA %4.73 %2.66
DXCM %4.83 %-2.83
EMR %4.68 %-1.89
CB %4.56 %-0.22
CHKP %4.96 %3.67

Average return is: %0.18
Bought on 2017-03-20 and plan to sell before 2017-03-24 open:

Symbol % Portfolio % Return
MGM %8.82 %-5.03
LRCX %9.84 %-0.98
MYE %9.95 %-4.53

Average return is: %-3.51
Bought on 2017-03-21 and plan to sell before 2018-03-22 open:

Symbol % Portfolio % Return
SPY %30.33 %-1.37

Average return is: %-1.37
Bought on 2017-03-23 and plan to sell before 2017-03-27 open:

Symbol % Portfolio % Return
MAR %1.53 %0.0

Average return is: %0.0

Total average return is: %-0.83
Today I’ve sold:

Symbol Bought Date Return

Average return is: %0

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