Conclusions and my portfolio for 2017-05-01 post trade

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 %23.98 %0.23

Average return is: %0.23
Bought on 2017-04-02 and plan to sell before 2017-05-14 open:

Symbol % Portfolio % Return
CNC %5.63 %4.33
ALXN %5.33 %5.15
BIIB %6.02 %-1.05
JAZZ %5.08 %10.19
RAI %5.53 %2.41
EMR %5.25 %0.8
CHKP %5.41 %1.24
CB %5.99 %0.65

Average return is: %2.97
Bought on 2017-04-21 and plan to sell before 2018-04-21 open:

Symbol % Portfolio % Return
CHTR %2.95 %2.59
MSFT %2.87 %4.57
AAPL %3.13 %0.85
BRK-B %2.89 %0.53
ORCL %2.93 %0.92

Average return is: %1.89
Bought on 2017-04-22 and plan to sell before 2018-04-22 open:

Symbol % Portfolio % Return
WLFC %2.96 %1.07
SCSS %2.91 %-6.65
HCKT %2.58 %1.23
LOW %2.92 %1.95

Average return is: %-0.6
Bought on 2017-04-25 and plan to sell before 2017-05-16 open:

Symbol % Portfolio % Return
ING %5.64 %-1.21

Average return is: %-1.21

Total average return is: %1.57
Today I’ve sold:

Symbol Bought Date Return

Average return is: %0

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