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Average Performance for the Buyer's Portfolio for 2011
Average Profit per Trade  22%
Average Duration   93 Days
Profit for each $1 lost 1.61
Strike Rate  65%
Total Recommendations  17
Profitable Positions  11
Average Loss per Trade  -13.6%


Performance of closed or partly closed Buy's for 2011
Code Buy Date Buy Price Sell Date Sell % Div Cap Sell Price Dividend  Days % Return
EXT 11/11/10 7.98 04/01/11 50 9.75   54 22%
EXT 11/11/10 7.98 24/01/11 50 9.03   74 13%
AMX 23/09/10 2.48 24/01/10 50 2.90   92 17%
AMX 23/09/10 2.48 24/01/11 50 2.78   96 12%
RXM 12/08/10 2.23 28/01/11 50 3.05   169 37%
RXM 12/08/10 2.23 14/03/11 50 2.61   214 17%
SLR 14/07/10 1.83 24/01/11 50 2.10   194 15%
RDS 27/07/10 0.24 28/01/11 50 0.38   166 58%
AQR 12/07/10 0.36 18/01/11 50 0.45   190 25%
AQA 22/11/10 8.63 13/01/11 50 9.71   52 13%
AQA 22/11/10 8.63 20/01/11 50 9.85   59 14%
PDN 05/04/11 3.85 21/04/11 80 3.65   16 -5%
ALY 18/11/10 0.68 14/02/11 40 0.47   88 -30%
AZM 17/09/10 0.68 31/01/11 50 0.60   136 -11%
ROL 12/10/11 1.90 24/01/11 50 1.57   43 -17%
ROL 12/10/11 1.90 14/03/11 50 1.78   153 -6.3%
GXY 11/01/11 1.60 22/01/11 50 1.40   11 12.5%