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Average Performance for the Buyer's Portfolio for 2008
Average Profit per Trade  (under 12 months) 101%
Average Duration  53 days
Profit for each $1 lost $4.20
Strike Rate 65%
Total Recommendations 17
Profitable Positions 11
Average Loss per Trade 27%


Performance of closed or partly closed Buy's for 2008
Code Buy Date Buy Price Sell Date Sell %Quantity Sell Price Dividend  Days % Return

MAK (1)

19/07/07 

0.36 

 19/02/08

 50 

1.17 

 

215 

225% 

MAK (2)

21/09/07 

0.23 

19/02/08 

 50 

1.17 

 

172 

408% 

FMG (1)

12/12/07 

5.99 

19/12/07 

 50 

7.87 

 

31% 

FMG (1)

12/12/07

5.99

14/02/08

50

7.45

 

34

24%

RSP

13/09/07

1.58

15/02/08

25

3.20

 

155

102%

TTY

27/03/07

0.52

05/03/08

25

1.00

 

343

92%

MAK (3)

 15/01/08

0.41 

19/02/08 

50

1.17 

 

 35

185% 

MAK (4)

 07/02/08

0.62 

 19/02/08

 50 

1.17 

 

12 

88% 

MAK (5)

28/03/08

1.65

18/04/08

50

2.90

 

21

76%

LNC (1)

14/04/08

1.17

28/04/08

50

1.67

 

14

43%

LNC (1)

14/04/08

1.17

06/05/08

50

2.12

 

22

82%

BRM

13/03/08

1.80

07/05/08

50

2.98

 

55

65%

AOE

01/05/08

2.58

04/06/08

50

3.97

 

34

54%

BKN (1)

05/12/07

14.48

13/12/07

33

10.25

 

8

-29%

BKN (1)

05/12/07

14.48

14/12/07

33

9.20

 

9

-36%

BKN (1)

05/12/07

14.48

04/09/08

33

11.00

 

273

-24%

DYE

23/07/07

1.37

10/01/08

50

1.17

 

171

-14%

SMY

16/05/08

5.69

23/05/08

100

5.14

 

7

-10%

SLX

22/02/08

6.08

11/03/08

80

5.3

 

17

-10%

ASX

21/04/08

36.90

02/06/08

100

33.30

 

42

-9.7%

BNB

30/06/08

7.14

07/08/08

50

6.65

 

38

-8.9%

PLT

26/09/07

0.53

01/09/08

65

0.105

 

360

-80%

WVL 16/06/08 2.20 n/a 65 0.00   n/a -100%