Conclusions to my suggestions:
Symbol | Return |
Current Portfolio:
Bought on 2017-03-21 and plan to sell before 2018-03-21 open:
Symbol | % Portfolio | % Return |
SPY | %32.65 | %-0.98 |
Average return is: %-0.98
Bought on 2017-04-02 and plan to sell before 2017-04-23 open:
Symbol | % Portfolio | % Return |
CNC | %7.67 | %-0.38 |
ALXN | %7.26 | %-4.86 |
BIIB | %8.19 | %-1.95 |
JAZZ | %6.91 | %6.39 |
RAI | %7.53 | %0.91 |
EMR | %7.15 | %-0.74 |
CHKP | %7.37 | %0.41 |
BG | %7.12 | %-4.34 |
CB | %8.15 | %0.81 |
Average return is: %-0.42
Total average return is: %-0.47
Today I've sold:
Symbol | Bought Date | Return |
Average return is: %0