Buy and Holders are getting punished. That makes two pretty bad weeks, and we're still not done with Europe. DNS -26, -19, -3.
FREE and SPRD were up 6.8% or better.
Trades:
I didn't want to sell CF, feeling that I got it at a good price. But it hit the stop loss, so it's gone, -7.2%.
MCHX couldn't muster a rebound and hit its stop. Gone, -18.9%.
SUMR just keeps sliding downward, -8.6%.
Portfolios:
The tracking portfolios got clobbered too. ESG is at -21.8%, value-sales at -6.3%.
Reversal alerts: (8).
Filtered down to MY, DMND, DLLR, and GRMN.
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