Suggestions and my plan for my portfolio for 2017-03-26 pre trade

Suggestion for you to buy:

Symbol Plan
MAR Sell before 2017-03-31 open
ILMN Sell before 2017-03-31 open
CEO Sell before 2017-03-31 open
SILC Sell before 2017-03-31 open
LYV Sell before 2017-03-31 open
PTX Sell before 2017-03-31 open
ACHC Sell before 2017-03-31 open
HBI Sell before 2017-03-31 open
SIG Sell before 2017-03-31 open
FOXA Sell before 2017-03-31 open
COG Sell before 2017-03-31 open
JAZZ Sell before 2017-03-31 open
CYH Sell before 2017-03-31 open
MBT Sell before 2017-03-31 open
HGT Sell before 2017-03-31 open
CBK Sell before 2017-03-31 open
CPA Sell before 2017-03-31 open
WYNN Sell before 2017-03-31 open
MCF Sell before 2017-03-31 open
MU Sell before 2017-03-31 open
CBD Sell before 2017-03-31 open

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

Symbol % Portfolio % Return
RAI %15.78 %1.84

Average return is: %1.84
Bought on 2017-02-28 and plan to sell before 2017-03-29 open:

Symbol % Portfolio % Return
BG %6.3 %-1.01
CPA %6.63 %2.47
DXCM %6.77 %4.4
EMR %6.56 %-2.8
CB %6.39 %-0.65
CHKP %6.94 %4.21

Average return is: %1.1
Bought on 2017-03-21 and plan to sell before 2018-03-22 open:

Symbol % Portfolio % Return
SPY %42.48 %-1.55

Average return is: %-1.55
Bought on 2017-03-23 and plan to sell today:

Symbol % Portfolio % Return
MAR %2.15 %1.48

Average return is: %1.48

Total average return is: %0.93
My plan to buy:

Symbol Plan
ILMN Sell before 2017-03-31 open
CEO Sell before 2017-03-31 open
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