Conclusions and my portfolio for 2017-04-07 post trade

Conclusions to my suggestions:

Symbol Return
ALNY %-5.91
ORCL %-1.62
SAN %0.0
WYNN %7.67
SKX %-5.42
REGN %-0.28
MANH %-5.05
TSU %-1.85
LOPE %0.65
CPA %2.59
TGNA %-2.6
HRG %-1.14
DPS %0.01
INCY %-7.38
MNST %-2.37
NKE %-4.9
AGN %-0.48
RAI %2.9
KATE %-22.17
EMR %-1.53
SSNC %-2.59
SRCL %-1.18
DPW %-22.08
INVE %-5.75
LCUT %2.26
CMTL %-9.29
QUIK %-41.25
PTX %-13.03
IMGN %-8.33
PPHM %-4.62
IMMU %-6.16
DVAX %-13.59
CHKP %0.82
BG %-9.15
BIIB %-2.2
DXCM %3.76
CB %-0.45
JAZZ %9.68
ARNC %-5.85
Average %-4.56

Current Portfolio:
Bought on 2017-03-21 and plan to sell before 2018-03-21 open:

Symbol % Portfolio % Return
SPY %32.65 %-0.88

Average return is: %-0.88
Bought on 2017-04-02 and plan to sell before 2017-04-23 open:

Symbol % Portfolio % Return
CNC %7.67 %0.24
ALXN %7.26 %-4.96
BIIB %8.19 %-1.15
JAZZ %6.91 %6.45
RAI %7.53 %0.56
EMR %7.15 %-0.18
CHKP %7.37 %-0.14
BG %7.12 %-3.01
CB %8.15 %0.89

Average return is: %-0.14

Total average return is: %-0.22
Today I’ve sold:

Symbol Bought Date Return

Average return is: %0

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