Quite a roller coaster day. DNS +61, -24, -1.
Trades:
CMG hit the trailing stop, +5.0%.
I ditched RBCN based on their earnings report and the open. Of course it rallied like a champ afterwards. -28.1%
I bought AAPL call options.
Portfolio Updates:
Last year's value-sales portfolio plummeted to a level of +11.8% for 53 weeks after being up over 50% at one point.
The ESG portfolio got hammered in the first few minutes of its life when SKH tanked. SKH is now down 48% and the portfolio itself is at -12.8% after one week. All but 3 of the 37 stocks are down for the week ... the gainers were CHRM, SNCR, and GOLD.
Reversal alerts: (57).
(5) from the more reliable t2 script of which MCHX and HANS pop out.
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