Indices are trading near low of the day.....
S&P 500 @ 2097.92, low 2095.98, high 2107.65
Internals are mostly positive
Oil UP 62 cents
Gold Down $4.60
Canadian $ Down 33 tick @ 74.06
VIX UP 9.70% @ 13.80......this is bad news for equities......
In my portfolo :
Sold LULU @ $68.19
Sold SWIR @ $37.10
Portfolio is AKS BBRY GPRO KORS RSD VDSI
Most stocks are higher
@ 2.35 following are red by 1% or more :
AKS GPRO VDSI FEYE YY NXPI WUBA COH LVS
SINA ABX SLW AEM DATA CSOD Z WYNN...
BLOG does NOT give buy or sell.
Saleem
Hi Saleem,
ReplyDeleteNice trade on SWIR! :)
My portfolio did well last week gaining 2.36% vs +1.70% for the S&P. Big gainers were TASR (+11.3% upon selling), SPLK (+6.7%), and URI (+5.9%). Losers included TWTR (-3.0%) and AAL (-2.9%).
Portfolio: AAPL SPLK FB C TWTR URI AAL ETN CF CSOD AEMD
Cash: 9.1%
I also think this is a much doubted market with price action that is positive. I think that resolves to the upside eventually. It seems like we always have this nervousness ahead of earnings, and then the good companies shine and we move higher again.
Stocktrader