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Average Performance for the Buyer's Portfolio for 2010
Average Profit per Trade  38.4%
Average Duration  75 days
Profit for each $1 lost $4.80
Strike Rate 84%
Total Recommendations 21
Profitable Positions 18
Average Loss per Trade 6.8%


Performance of closed or partly closed Buy's for 2010
Code Buy Date Buy Price Sell Date Sell % Div Cap Sell Price Dividend  Days % Return
RIV 29/12/09 7.10 04/02/10 50 7.20   36 2%
AQA 01/02/10 7.90 01/02/10 100 8.90   2 12%
BRM 13/03/08 1.75 04/02/10 50 2.60   689 49%
BRM 28/08/08 1.73 04/02/10 50 2.60   529 50%
IPL 03/12/09 3.09 07/01/10 50 3.75   35 21%
IOH 10/12/09 1.49 15/01/10 50 2.40   36 61%
RIV 29/12/09 7.10 20/01/10 50 8.44   22 19%
IOH 29/12/09 1.49 0202/10 50 2.09   54 40%
AGO 12/09/08 1.58 28/01/10 50 2.03   503 28%
ROL 17/12/09 1.19 04/01/10 50 2.11   15 77%
HEM 24/07/08 0.24 24/01/10 100 0.56   544 133%
HEM 27/11/09 0.54 24/01/10 100 0.56   58 3%
AQP 15/12/09 6.65 04/02/10 50 7.00   51 5%
IPL 03/12/09 3.09 09/02/10 50 3.33   68 8%
AVM 09/09/09 3.07 09/02/10 50 3.50   153 14%
RIO 08/02/10 67.35 10/02/10 100 69.85   2 4%
AQR 21/01/10 0.38 10/03/10 50 0.69   48 82%
AQR2 24/02/10 0.38 10/03/10 50 0.70   14 84%
WPG 18/02/10 0.55 16/03/10 50 0.78   26 42%
IVA 02/12/09 4.12 20/01/10 60 3.40   49 -17%
MQG 06/01/10 48.72 09/02/10 100 47.70   34 -2%
AQP 15/12/09 6.65 09/02/10 50 6.55   56 -1.5%